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More On F0CAN05P7B.T…


Co-operators Very Conservative Port VP (F0CAN05P7B.TO)

141.03 Up 0.25(0.18%) Apr 15
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Risk as of Mar 30, 2014Get Risk for:
Risk Overview 
Morningstar Risk Rating:3
Number of Years Up9
Number of Years Down1
Best 1 Yr Total Return(Dec 30, 2009):7.87%
Worst 1 Yr Total Return(Dec 30, 2008):-6.30%
Risk (Modern Portfolio Theory) Statistics 
3 Years
StatisticF0CAN05P7B.TOCategory
Alpha (against Standard Index)-2.84-0.27
Beta (against Standard Index)0.991.00
Mean Annual Return0.200.42
R-squared (against Standard Index)79.6075.31
Standard Deviation2.823.03
Sharpe Ratio0.531.40
Treynor Ratio1.513.50
5 Years
StatisticF0CAN05P7B.TOCategory
Alpha (against Standard Index)-2.27-0.01
Beta (against Standard Index)0.901.03
Mean Annual Return0.350.61
R-squared (against Standard Index)80.3373.53
Standard Deviation2.783.44
Sharpe Ratio1.231.92
Treynor Ratio3.896.51
10 Years
StatisticF0CAN05P7B.TOCategory
Alpha (against Standard Index)-1.95-0.98
Beta (against Standard Index)0.890.91
Mean Annual Return0.250.33
R-squared (against Standard Index)87.0375.77
Standard Deviation3.614.12
Sharpe Ratio0.290.51
Treynor Ratio1.162.30