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Tocqueville Select (TSELX)

12.52 0.00(0.00%) Feb 24

Risk as of Jan 30, 2017Get Risk for:
Risk Overview 
Morningstar Risk Rating:5
Number of Years Up14
Number of Years Down4
Best 1 Yr Total Return(Dec 30, 2009):61.13%
Worst 1 Yr Total Return(Dec 30, 2008):-37.73%
Risk (Modern Portfolio Theory) Statistics 
3 Years
StatisticTSELXCategory
Alpha (against Standard Index)-11.20-3.05
Beta (against Standard Index)1.491.08
Mean Annual Return0.410.73
R-squared (against Standard Index)67.6858.69
Standard Deviation18.9514.93
Sharpe Ratio0.250.59
Treynor Ratio2.067.30
5 Years
StatisticTSELXCategory
Alpha (against Standard Index)-8.65-2.20
Beta (against Standard Index)1.331.08
Mean Annual Return0.801.05
R-squared (against Standard Index)66.6364.44
Standard Deviation16.7013.90
Sharpe Ratio0.570.92
Treynor Ratio6.3411.46
10 Years
StatisticTSELXCategory
Alpha (against Standard Index)-0.61-0.86
Beta (against Standard Index)1.291.17
Mean Annual Return0.790.70
R-squared (against Standard Index)77.7080.50
Standard Deviation22.4020.07
Sharpe Ratio0.390.39
Treynor Ratio5.045.10