RENDIMIENTO UF

RUN: 8853-6 | Administradora: ZURICH CHILE ASSET MANAGEMENT ADMINISTRADORA GENERAL DE FONDOS S.A. | Moneda: 💰 Pesos Chilenos

CLP
📋 Información General
RUN:
8853-6
Nombre:
RENDIMIENTO UF
Administradora:
ZURICH CHILE ASSET MANAGEMENT ADMINISTRADORA GENERAL DE FONDOS S.A.
Tipo:
6.0
Moneda:
CLP
Creado:
20/07/2025
📊 Resumen

3

Series Disponibles

18

Métricas Calculadas

📈 Series del Fondo
🎯 Filtro de Calidad Solo series con ≥100 partícipes
Serie Patrimonio Partícipes Última Actualización Acciones
A 22.3K 1.2K N/A
B-APV 915 135 N/A
B-APV/APVC 2.7K 184 N/A
🎯 Métricas Financieras Recientes
SERIE PERÍODO RENTABILIDAD VOLATILIDAD SHARPE VaR 95% MAX DD CALMAR FECHA CÁLCULO
A 1M 0.24% 0.96% -1.99 -0.06% -0.2% 15.69 15/07/2026
A 3M 0.13% 1.05% -5.02 -0.12% -0.84% -0.3 15/07/2026
A 6M 2.68% 1.22% 0.4 -0.09% -0.84% 6.51 15/07/2026
A 12M 5.24% 1.09% 0.34 -0.07% -0.84% 6.38 15/07/2026
A 36M 21.01% 1.44% 1.27 -0.11% -1.62% 4.21 15/07/2026
A 24M 12.07% 1.16% 0.87 -0.08% -1.25% 4.8 15/07/2026
B-APV 1M 0.36% 0.6% -0.54 -0.03% -0.11% 43.19 30/08/2017
B-APV 3M 0.24% 0.7% -5.15 -0.07% -0.68% 2.04 30/08/2017
B-APV 6M 0.91% 0.77% -4.03 -0.07% -0.68% 2.79 30/08/2017
B-APV 12M 2.87% 0.87% -2.45 -0.07% -1.39% 2.07 30/08/2017
B-APV 36M 8.47% 0.73% 0.02 -0.06% -1.39% 3.6 30/08/2017
B-APV 24M 8.47% 0.73% 0.02 -0.06% -1.39% 3.6 30/08/2017
B-APV/APVC 1M 0.27% 0.96% -1.58 -0.06% -0.19% 18.34 15/07/2026
B-APV/APVC 3M 0.23% 1.05% -4.65 -0.12% -0.8% 0.16 15/07/2026
B-APV/APVC 6M 2.87% 1.22% 0.73 -0.09% -0.8% 7.41 15/07/2026
B-APV/APVC 12M 5.63% 1.1% 0.72 -0.06% -0.8% 7.27 15/07/2026
B-APV/APVC 36M 22.34% 1.44% 1.55 -0.11% -1.57% 4.61 15/07/2026
B-APV/APVC 24M 12.89% 1.16% 1.22 -0.08% -1.22% 5.24 15/07/2026