Carmignac Credit Opportunities B EUR Acc | +11.0 % | - | - | - |
Category Average | - | - | - | - |
Ranking (quartile) | - | - | - | - |
These measures are used to assess a Fund's risk-adjusted performance. A well-performing Fund should ideally have a solid return (measured by the Sharpe ratio and alpha) relative to its risk (measured by volatility), while being well aligned with market expectations (measured by beta relative to the reference indicator).
Fund | +6.8 % | 0.0 % | +3.8 % |
Calculation : Weekly basis
The unfavourable scenario occurred for an investment between 09/2019 and 09/2022.
The moderate scenario occurred for an investment between 12/2015 and 12/2018.
The favourable scenario occurred for an investment between 02/2016 and 02/2019.