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(0P00000VS0.L)

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Risk overview

Morningstar risk rating★★★★
Number of years up17
Number of years down10
Best 1-yr total return (Invalid Date)41.90%
Worst 1-yr total return (Invalid Date)-43.88%

Risk statistics

3 years
0P00000VS0.LCategory average
5 years
0P00000VS0.LCategory average
10 years
0P00000VS0.LCategory average
Alpha
-5.55-0
-0.670.01
-0.530.04
BETA
0.970.01
0.960.01
0.930.01
Mean annual return
0.530.01
1.050.01
0.940.01
R-squared
86.840.68
84.90.66
79.60.75
Standard deviation
24.770.12
20.150.11
17.010.17
Sharpe ratio
0.240.01
0.60.01
0.640
Treynor ratio
2.870.08
11.050.17
10.440.09