INDEX FUND LATAM
Métricas de Rendimiento
Rentabilidad
-1.15%
Volatilidad
16.72%
Sharpe Ratio
-1.165
VaR 95%
-1.36%
CVaR 95%:
-1.97%
Máximo Drawdown:
-5.94%
Sortino Ratio:
-1.980
Calmar Ratio:
-2.44
Rentabilidad
10.59%
Volatilidad
15.83%
Sharpe Ratio
2.484
VaR 95%
-1.36%
CVaR 95%:
-1.88%
Máximo Drawdown:
-5.94%
Sortino Ratio:
4.149
Calmar Ratio:
7.46
Rentabilidad
18.80%
Volatilidad
15.35%
Sharpe Ratio
1.998
VaR 95%
-1.36%
CVaR 95%:
-1.85%
Máximo Drawdown:
-6.32%
Sortino Ratio:
3.377
Calmar Ratio:
5.64
Rentabilidad
19.31%
Volatilidad
19.19%
Sharpe Ratio
0.598
VaR 95%
-1.81%
CVaR 95%:
-2.59%
Máximo Drawdown:
-14.05%
Sortino Ratio:
0.825
Calmar Ratio:
1.17
Rentabilidad
24.35%
Volatilidad
20.01%
Sharpe Ratio
0.146
VaR 95%
-2.01%
CVaR 95%:
-2.77%
Máximo Drawdown:
-27.75%
Sortino Ratio:
0.216
Calmar Ratio:
0.29