Amundi Funds Global Macro Forex USD C
LU1883326172
Vyberte měnu:
Grafy a výkonnosti se přepočítají do vybrané měny.
Měna fondu:
USD
Třída aktiv:
alternativní
Region:
Globální
Typ:
Hedge fondy
Skupina:
Global Macro
Správce:
Poslední kurz:
46.3400 (05.6.2023)
Vznik fondu:
18.6.2020
Manažerský poplatek:
0.75 %
Likvidita:
do 10 dnů
Dokumentace:
Podobné fondy
- BNP Paribas Global Convertible (USD) (12/56)
- Allianz Income and Growth (USD) (16/56)
- Amundi Funds Global Multi-Asset USD C (31/56)
- Schroder ISF Global Convertible Bond USD (24/56)
- Amundi Funds Gl. Multi-Asset Target Income A2 USD (8/56)
- Schroder ISF Global Multi-Asset Income USD (None)
- BGF Global Multi-Asset Income USD (23/56)
- Amundi Funds Real Assets Target Income A2 USD C (18/56)
- Amundi European Equity Optimal Volatility USD C (45/56)
- BNPP Flexi I Flexible Convertible Bond (USD) (9/56)
- Sirius Investments Reserva A USD (2/56)
- FF - Global Multi Asset Income USD (35/56)
- Franklin Global Convertible Securities USD (10/56)
- Franklin K2 Alternative Strategies Fund USD (26/56)
- Schroder ISF Asian Convertible Bond USD (None)
- Schroder ISF Global Target Return USD (None)
- Schroder ISF Multi-Asset Total Return USD (None)
- Amundi Funds Global Macro Forex (EUR) (40/56)
- BNP Paribas Global Convertible (USD) (12/56)
- Amundi Funds Global Multi-Asset EUR C (17/56)
- Schroder ISF European Market Neutral EUR (39/56)
- Allianz Income and Growth (EUR-H) (19/56)
- BNPP Flexi I Flexible Convertible Bond RH (CZK) (5/56)
- First Eagle Amundi Income Builder EUR C (41/56)
- UNIQA Selection Opportunities CZK (13/56)
- Sirius Investments Reserva A EUR (7/56)
- Allianz Income and Growth (USD) (16/56)
- Franklin K2 Alternative Strategies (CZK-H1) (29/56)
- Amundi Funds Global Multi-Asset Target Income CZK Hgd C (14/56)
- Amundi Funds Global Multi-Asset USD C (31/56)
- NWD Global Multi-Asset podfond CZK (None)
- BNP Paribas Global Convertible RH (CZK) (28/56)
- Schroder ISF Global Convertible Bond USD (24/56)
- Amundi Funds Global Multi-Asset Target Income CZK Hgd D (38/56)
- Amundi Funds Flexible Opportunities A CZK Hgd C (41/56)
- Amundi Funds Gl. Multi-Asset Target Income A2 USD (8/56)
- Amundi Funds Convertible Europe (EUR) (44/56)
- Schroder ISF Global Multi-Asset Income USD (None)
- BNP Paribas Global Convertible RH (EUR) (20/56)
- BGF Global Multi-Asset Income EUR (21/56)
- BGF Global Multi-Asset Income USD (23/56)
- Amundi Funds EURO Multi-Asset Target Income CZK Hgd D (None)
- Amundi Funds Real Assets Target Income A2 EUR C (15/56)
- Amundi Funds Real Assets Target Income A2 USD C (18/56)
- Allianz Dynamic Multi Asset Strategy 50 (CZK) (None)
- Amundi European Equity Optimal Volatility USD C (45/56)
- BNP Paribas Europe Small Cap Convertible (EUR) (25/56)
- Amundi Funds Absolute Volatility World (EUR) (33/56)
- Amundi Funds Convertible Global (EUR) (30/56)
- BNPP Flexi I Flexible Convertible Bond RH (EUR) (27/56)
- BNPP Flexi I Flexible Convertible Bond (USD) (9/56)
- Amundi European Equity Optimal Volatility EUR (None)
- Amundi Funds Absolute Volatility EURO (EUR) (22/56)
- FF - Multi Asset Strategic Fund EUR (43/56)
- BNP Paribas Europe Convertible (EUR) (42/56)
- Sirius Investments Reserva D CZK (None)
- Sirius Investments Reserva C CZK (None)
- Sirius Investments Reserva A USD (2/56)
- Sirius Investments Reserva B CZK (4/56)
- Sirius Investments Reserva A CZK (1/56)
- Robot Asset Management, podfond QUANT (3/56)
- C-QUADRAT ARTS Total Return Balanced VT (6/56)
- FF - Global Multi Asset Income EUR (34/56)
- FF - Global Multi Asset Income Fund CZK hdg (37/56)
- FF - Global Multi Asset Income USD (35/56)
- FF - Multi Asset Strategic EUR (hedged) (46/56)
- First Eagle Amundi Income Builder CZK (32/56)
- Franklin Global Convertible Securities USD (10/56)
- Franklin K2 Alternative Strategies Fund EUR (36/56)
- Franklin K2 Alternative Strategies Fund USD (26/56)
- J&T RENTIER, J&T SICAV A1 CZK (None)
- J&T RENTIER, J&T SICAV A2 EUR (None)
- J&T RENTIER, J&T SICAV D1 CZK (None)
- J&T RENTIER, J&T SICAV D2 EUR (None)
- Schroder ISF Asian Convertible Bond USD (None)
- Schroder ISF Global Sustain. Convertible Bond EUR (None)
- Schroder ISF Global Target Return USD (None)
- Schroder ISF Multi-Asset Total Return USD (None)
- Allianz Dynamic Multi Asset Strategy 50 (EUR) (11/56)
Výkonnost fondu
Kumulovaná
30d | 6m | 1y | 3y | 5y | 7y | 10y |
---|---|---|---|---|---|---|
-2.6% | 2.9% | 0.7% | — | — | — | — |
Anualizovaná
1y | 3y | 5y | 7y | 10y |
---|---|---|---|---|
0.7% p.a. | — | — | — | — |
Za jednotlivé roky
2023 * | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 |
---|---|---|---|---|---|---|---|
1.2% | -4.7% | -8.4% | — | — | — | — | — |
* od začátku roku
Rizikovost fondu
Rizikovost | 4 |
---|---|
Volatilita od počátku / 5 let | 8.35% / N/A% |
Maximální / obvyklý propad | -21.41 % / -12.82 % |
Maximální / obvyklá doba propadu | 2.42 roku / 1.33 roku |
Beta | 0.28 |
Sharpe |
Cílové trhy
Kategorie klienta | Neprofesionální investor, Profesionální investor, Způsobilá protistrana |
---|---|
Znalosti a zkušenosti | Základní, informovaný nebo pokročilý investor |
Investiční horizont | minimálně 3 roky |
Investiční cíl | Ochrana či růst |
Schopnost nést ztráty | Ano |
Tolerance rizika | 4 |