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Summary
Historical Data
Profile
Holdings
Performance
Risk
Purchase info
Sustainability
0P00018L3U.TO - Co-operators Very Conservative Portfolio RESP
Toronto - Toronto Delayed Price. Currency in CAD
Risk Overview
Morningstar Risk Rating
★★★
Number of Years Up
10
Number of Years Down
3
Best 1 Yr Total Return (May 24, 2023)
7.52%
Worst 1 Yr Total Return (May 24, 2023)
N/A
Risk Statistics
3 Years
0P00018L3U.TO
Category Average
5 Years
0P00018L3U.TO
Category Average
10 Years
0P00018L3U.TO
Category Average
Alpha
-2.83
N/A
-2.51
N/A
-2.45
N/A
BETA
1.08
N/A
1.04
N/A
1.06
N/A
Mean Annual Return
-0.14
N/A
0.06
N/A
0.12
N/A
R-squared
97.44
N/A
96.37
N/A
96.36
N/A
Standard Deviation
6.88
N/A
6.48
N/A
5.36
N/A
Sharpe Ratio
-0.41
N/A
-0.1
N/A
0.08
N/A
Treynor Ratio
-2.78
N/A
-0.8
N/A
0.28
N/A
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