EA MODERADO

RUN: 9577-K | Administradora: ZURICH CHILE ASSET MANAGEMENT ADMINISTRADORA GENERAL DE FONDOS S.A. | Moneda: 💰 Pesos Chilenos

CLP
📋 Información General
RUN:
9577-K
Nombre:
EA MODERADO
Administradora:
ZURICH CHILE ASSET MANAGEMENT ADMINISTRADORA GENERAL DE FONDOS S.A.
Tipo:
6.0
Moneda:
CLP
Creado:
20/07/2025
📊 Resumen

6

Series Disponibles

36

Métricas Calculadas

📈 Series del Fondo
🎯 Filtro de Calidad Solo series con ≥100 partícipes
Serie Patrimonio Partícipes Última Actualización Acciones
A 16.7K 2.0K N/A
B-APV 11.3K 2.2K N/A
B-APV/APVC 10.0K 2.2K N/A
E 1.0K 573 N/A
H-APV/APVC 1.8K 1.1K N/A
I-APV/APVC 396 162 N/A
🎯 Métricas Financieras Recientes
SERIE PERÍODO RENTABILIDAD VOLATILIDAD SHARPE VaR 95% MAX DD CALMAR FECHA CÁLCULO
A 1M 1.53% 5.67% 2.92 -0.48% -0.71% 30.31 15/07/2026
A 3M 3.46% 4.89% 2.51 -0.46% -1.37% 12.62 15/07/2026
A 6M 5.35% 5.53% 1.33 -0.49% -2.16% 5.71 15/07/2026
A 12M 9.68% 4.79% 1.19 -0.44% -2.16% 4.95 15/07/2026
A 36M 34.87% 5.55% 1.12 -0.54% -5.33% 2.11 15/07/2026
A 24M 20.48% 5.06% 1.06 -0.46% -4.23% 2.45 15/07/2026
B-APV 1M 1.61% 5.68% 3.12 -0.48% -0.71% 32.16 15/07/2026
B-APV 3M 3.7% 4.9% 2.74 -0.46% -1.35% 13.63 15/07/2026
B-APV 6M 5.83% 5.53% 1.53 -0.49% -2.11% 6.37 15/07/2026
B-APV 12M 7.19% 4.85% 0.97 -0.44% -2.11% 4.6 15/07/2026
B-APV 36M 7.19% 4.85% 0.97 -0.44% -2.11% 4.6 15/07/2026
B-APV 24M 7.19% 4.85% 0.97 -0.44% -2.11% 4.6 15/07/2026
B-APV/APVC 1M 1.71% 4.43% 4.23 -0.21% -0.4% 59.7 12/09/2025
B-APV/APVC 3M 5.91% 4.24% 5.16 -0.39% -0.98% 27.51 12/09/2025
B-APV/APVC 6M 10.41% 5.48% 2.89 -0.5% -2.33% 8.95 12/09/2025
B-APV/APVC 12M 12.36% 5.17% 1.41 -0.45% -4.03% 3.05 12/09/2025
B-APV/APVC 36M 33.89% 6.16% 0.95 -0.58% -7.01% 1.54 12/09/2025
B-APV/APVC 24M 24.57% 5.78% 1.21 -0.55% -5.31% 2.27 12/09/2025
E 1M 1.75% 5.69% 3.48 -0.47% -0.7% 35.6 15/07/2026
E 3M 4.12% 4.91% 3.14 -0.46% -1.31% 15.54 15/07/2026
E 6M 6.7% 5.54% 1.88 -0.48% -2.02% 7.64 15/07/2026
E 12M 12.44% 4.8% 1.81 -0.43% -2.02% 6.78 15/07/2026
E 36M 24.12% 5.12% 1.1 -0.47% -3.63% 2.92 15/07/2026
E 24M 25.91% 5.06% 1.57 -0.45% -3.63% 3.56 15/07/2026
H-APV/APVC 1M 1.7% 5.69% 3.36 -0.47% -0.7% 34.45 15/07/2026
H-APV/APVC 3M 3.98% 4.91% 3.0 -0.46% -1.33% 14.89 15/07/2026
H-APV/APVC 6M 6.41% 5.54% 1.76 -0.48% -2.05% 7.21 15/07/2026
H-APV/APVC 12M 11.83% 4.8% 1.67 -0.43% -2.05% 6.35 15/07/2026
H-APV/APVC 36M 42.31% 5.56% 1.5 -0.53% -5.26% 2.53 15/07/2026
H-APV/APVC 24M 24.96% 5.06% 1.48 -0.45% -3.75% 3.33 15/07/2026
I-APV/APVC 1M 1.84% 4.47% 4.62 -0.21% -0.39% 65.33 12/09/2025
I-APV/APVC 3M 6.31% 4.25% 5.6 -0.39% -0.96% 30.04 12/09/2025
I-APV/APVC 6M 11.24% 5.48% 3.23 -0.49% -2.25% 10.08 12/09/2025
I-APV/APVC 12M 13.79% 5.17% 1.69 -0.45% -3.68% 3.74 12/09/2025
I-APV/APVC 36M 14.0% 5.28% 0.93 -0.5% -3.68% 2.69 12/09/2025
I-APV/APVC 24M 14.0% 5.28% 0.93 -0.5% -3.68% 2.69 12/09/2025