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CCR Arbitrage Volatilité 150 R (FR0007000427.PA)

1,304.86 0.00(0.00%) Sep 18

Performance Overview as of Aug 30, 2014Get Performance Overview for:
Performance Overview 
Morningstar Return Rating:4.00
Year-to-Date Return:-0.92%
5-Year Average Return:0.68%
Number of Years Up:17
Number of Years Down:0
Best 1 Yr Total Return (2001-12-31):5.87%
Worst 1 Yr Total Return (2011-12-31):0.42%
Best 3-Yr Total Return (N/A):5.23%
Worst 3-Yr Total Return (N/A):0.67%
Load Adjusted Returns 
1-Year:-1.64%
3-Year:0.03%
5-Year:0.28%
10-Year:1.75%
Trailing Returns (%) vs. Benchmarks 
ReturnFR0007000427.PACategoryDiffIndex*Diff
Year To Date-0.92N/AN/AN/AN/A
1-Month-0.01N/AN/AN/AN/A
3-Month-1.16N/AN/AN/AN/A
1-Year0.36N/AN/AN/AN/A
3-Year0.71N/AN/AN/AN/A
5-Year0.68N/AN/AN/AN/A
Last Bull Market ( to )N/AN/AN/AN/AN/A
Last Bear Market ( to )N/AN/AN/AN/AN/A
Annual Total Return (%) History () 
YearFR0007000427.PACategoryDiff
2014N/AN/AN/A
2013
 
1.88N/AN/A
2012
 
1.12N/AN/A
2011
 
0.42N/AN/A
2010
 
0.47N/AN/A
2009
 
2.05N/AN/A
2008
 
5.53N/AN/A
2007
 
5.52N/AN/A
2006
 
0.99N/AN/A
2005
 
1.70N/AN/A
2004
 
2.57N/AN/A
2003
 
3.11N/AN/A
2002
 
5.45N/AN/A
2001
 
5.87N/AN/A
2000
 
4.37N/AN/A
1999
 
1.23N/AN/A
1998
 
3.48N/AN/A
1997
 
6.06N/AN/A
1996N/AN/AN/A
Past Quarterly Returns (%) for FR0007000427.PA 
Q1Q2Q3Q4
20140.31-0.74N/AN/A
2013-0.320.400.581.22
20120.97-0.120.29-0.02
20110.500.250.06-0.39
20100.04-0.740.510.67
20090.381.030.360.27
20081.221.580.791.83
20070.501.610.912.40
2006-0.200.130.580.48
20050.661.060.07-0.10
20041.50-0.410.570.89
20031.281.230.320.24
20020.051.282.551.49
20011.641.261.960.89
20000.890.450.912.06
19991.06-0.17-0.190.53
19981.430.600.760.64
19971.422.210.561.75
19963.052.83N/AN/A
Rank in Category (by total return) 
PeriodRankFunds in Category% Rank
Year To Date56N/A
1-Month41N/A
3-Month76N/A
6-Month70N/A
1-Year38N/A
3-Year36N/A
5-Year49N/A