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Graph

For comparison purpose Index level basis 100 as of

Statistics

1 M 6 M YTD 1 Y 3 Y
Cumulative Performance +1.37 % +5.75 % +11.62 % +8.85 % +15.91 %
Annualized Performance +8.85 % +5.05 %
Annualized Volatility +2.31 % +6.26 % +6.06 % +6.39 % +4.97 %
Sharpe Ratio 1.38 1.01
Max Drawdown +0.00 % -2.22 % -3.02 % -3.02 % -9.79 %

The SGI Multifund Index has been calculated since 20/02/2017.
THE FIGURES RELATING TO PAST PERFORMANCES AND SIMULATED PAST PERFORMANCES REFER OR RELATE TO PAST PERIODS AND ARE NOT A RELIABLE INDICATOR OF FUTURE RESULTS. THIS ALSO APPLIES TO HISTORICAL MARKET DATA.


The SGI Flexible Allocation Fund is calculated and maintained by STOXX Limited, Zurich, Switzerland, specifically for SG

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