CALIFICACIÓN DE RIESGO: ScrAAf 3
(Credit Risk: AA / Market Risk: Category 3)
The quality and diversification of the fund's assets, and the strengths and weaknesses of its management provide very strong protection against losses from non-compliance of payment. Very Good Level. Category 3 indicates high sensitivity to changing market conditions.
| STANDARD DEVIATION OF RETURNS |
| Last 30 days |
0.65% |
| Last 12 months |
3.69% |
| |
| DURATION |
| Macaulay |
1.6502% |
| Modified |
1.4533% |
|
| RISK-ADJUSTED RETURNS |
| Last 30 days |
2.08% |
| Last 12 months |
12.71% |
| |
| OTHER INDICATORS |
| Holding Period |
0.5051 |
| Leverage |
0.00 |
|