AC INVEST - Multistrategy

Back to overview

Current NAV: 20 Jan 2020 EUR 100.76

Performance as of: 20 Jan 2020

  1 Month 6 Months YTD 1 Year 3 Years 5 Years Since Inception
Fund 1.93% 3.42% 2.10% 6.43% 12.46% 4.63% 0.76%

ROLLING 12-MONTH RETURN

  20 Jan 2015-
20 Jan 2016
20 Jan 2016-
20 Jan 2017
20 Jan 2017-
20 Jan 2018
20 Jan 2018-
20 Jan 2019
20 Jan 2019-
20 Jan 2020
Fund -5.38% -1.67% 7.66% -1.86% 6.43%