As at Jun 11, 2025
Peers
Compare
Issue Date
--
Type
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Rank
Net Asset
517.68K
Fund Manager
Net Assets
517.68K
Inception
07, Aug 2013
Asset Type
Index
Management Fee
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Loads
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Prev. close
100.7525
3yr sharpe ratio
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Annualized return
NaN%
3yr Volatility
━━
Beta
--
3yr Sortino ratio
Max drawdown
Alpha
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Average gain
0.52
Average loss
-0.83