NXS Flex Overlay Europe Index
Performance & Volatility
Accumulated performance | Volatility | |
---|---|---|
Intraday | 1.56% | n/a |
1m | -4.43% | 30.29% |
3m | -21.59% | 41.66% |
ytd | n/a | 38.83% |
1y | -17.51% | 29.16% |
3y | -24.82% | 17.08% |
5y | n/a | n/a |
Last valuation date: 22/07/2020
Risk / Return from: 21/04/2017
Annualized return | -8.63% |
Volatility | 16.41% |
Information ratio | -0.53 |
Max Drawdown | -35.07% |
All information for an index prior to its Inception Date is back-tested, based on the methodology that was in effect on the Inception Date. Back-tested performance, which is hypothetical and not actual performance, is subject to inherent limitations because it reflects application of an Index methodology and selection of index constituents in hindsight. No theoretical approach can take into account all of the factors in the markets in general and the impact of decisions that might have been made during the actual operation of an index. Actual returns may differ from, and be lower than, back-tested returns.
The key elements of the index methodology are available upon demand.
The NXS Flex Overlay Europe is a dynamic strategy index exposed to financial markets through a basket of synthetic put options and call options on Eurostoxx 50.