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Indicateurs de performances
Performances multi-périodes des Fonds
au 22/09/2023
Date de valeur
Mode du compteur
Quotidien
Hebdomadaire
Périodes des indicateurs
Vous pouvez saisir des périodes non listées au format
"Nombre:Périodicité"
Exemples
: 260:S (Semaines), 34:M (Mois), 13:A (Ans), 520:J (Jours), ...
Sélection des Fonds
Catégorie des Fonds
MONETAIRE
OCT
OMLT
ACTIONS
DIVERSIFIE
CONTRACTUEL
Cocher une ou plusieurs catégories.
N.B
: Les catégories sont prioritaires à la sélection des Fonds.
Sélection des Fonds
Sélection des Fonds simples et composites. Ne pas combiner les catégories avec la sélection des Fonds.
Charger
Performances
Statistiques
Fiche des performances multi-périodes au 22/09/2023
Code
Description
YTD
1S
3M
6M
1A
2A
3A
4A
5A
MTD
QTD
STD
UD_ACT_I
UD ACTIONS I
7.864%
-0.389%
3.79%
12.272%
-5.227%
-11.197%
15.943%
0.061%
7.259%
-1.787%
3.79%
3.79%
UD_ACT_II
UD ACTIONS II
2.998%
-0.323%
3.447%
10.172%
-9.183%
-15.019%
7.89%
-1.835%
5.351%
-1.652%
3.447%
3.447%
UD_AGILE_I
UD AGILE I
-3.653%
-0.107%
1.778%
3.372%
-7.925%
-12.565%
-6.946%
-7.941%
-6.45%
-0.301%
1.778%
1.778%
UD_AGILE_II
UD AGILE II
3.384%
-0.125%
2.801%
8.771%
-2.945%
-2.21%
10.406%
9.273%
11.348%
-0.663%
2.801%
2.801%
UD_ASSURANCES
UD ASSURANCES
0.084%
-0.038%
1.017%
2.967%
-1.019%
-0.41%
2.213%
6.755%
10.898%
0.183%
1.017%
1.017%
UD_DEV
UD DEVELOPPEMENT
-5.345%
0.005%
1.238%
3.387%
-8.267%
-8.84%
-5.959%
0.37%
5.933%
0.206%
1.238%
1.238%
UD_DIV_I
UD DIVERSIFIE I
-4.1%
-0.092%
1.666%
5.781%
-12.406%
-13.384%
-9.748%
-7.752%
-7.917%
-0.801%
1.666%
1.666%
UD_DIV_II
UD DIVERSIFIE II
-3.46%
-0.215%
2.26%
3.061%
-10.308%
-27.158%
-17.104%
-16.727%
-12.033%
-0.495%
2.26%
2.26%
UD_HY
UD HIGH YIELD
-2.777%
-0.161%
1.129%
3.791%
-3.864%
-4.496%
-0.887%
2.194%
6.339%
0.048%
1.129%
1.129%
UD_LT
UD LONG TERME
-3.339%
-0.038%
1.452%
4.34%
-6.532%
-6.687%
-2.549%
2.68%
8.425%
0.059%
1.452%
1.452%
UD_MT
UD MOYEN TERME
-1.728%
-0.004%
1.305%
3.813%
-4.755%
-9.068%
-6.914%
-2.457%
0.039%
0.206%
1.305%
1.305%
UD_OBLIG_I
UD OBLIGATIONS I
-5.429%
-0.088%
1.333%
0.5%
-7.529%
-7.315%
-3.902%
3.319%
8.638%
0.114%
1.333%
1.333%
UD_OBLIG_II
UD OBLIGATIONS II
-1.88%
-0.045%
1.407%
4.007%
-3.742%
-3.205%
0.065%
6.656%
12.265%
0.183%
1.407%
1.407%
UD_PENSION
UD PENSION
-3.528%
-0.082%
0.831%
3.057%
-5.777%
-5.701%
-2.939%
3.352%
9.057%
0.097%
0.831%
0.831%
UD_PERF_I
UD PERFORMANCE I
10.122%
-0.309%
3.528%
14.371%
-2.655%
-6.194%
25.136%
11.979%
20.972%
-1.621%
3.528%
3.528%
UD_PERF_II
UD PERFORMANCE II
10.997%
-0.329%
3.808%
15.085%
-2.934%
-7.107%
36.199%
22.227%
32.46%
-1.86%
3.808%
3.808%
UD_REND
UD RENDEMENT
-2.707%
-0.014%
1.57%
4.697%
-5.45%
-5.777%
-1.246%
4.644%
10.655%
0.11%
1.57%
1.57%
UD_RENTABILITE
UD RENTABILITE
0.356%
-0.044%
0.669%
2.416%
-0.24%
0.032%
3.31%
10.143%
16.193%
0.15%
0.669%
0.669%
UD_RETRAITE
UD RETRAITE
-5.729%
-0.068%
1.029%
1.081%
-8.128%
-14.726%
-16.319%
-12.459%
-7.81%
0.128%
1.029%
1.029%
UD_SECU
UD SECURITE
-1.022%
0.005%
0.911%
2.294%
-2.271%
-1.533%
0.211%
3.6%
7.22%
0.173%
0.911%
0.911%
UD_SER
UD SERENITE
-2.099%
-0.16%
1.183%
3.787%
-4.017%
-3.354%
0.027%
13.52%
23.776%
0.077%
1.183%
1.183%
UD_STR_I
UD STRATEGIE I
-1.819%
-0.061%
1.106%
3.397%
-5.883%
-5.556%
-3.282%
2.203%
7.588%
0.159%
1.106%
1.106%
UD_STR_II
UD STRATEGIE II
-6.531%
0.057%
1.356%
0.008%
-8.461%
-11.34%
-11.194%
-9.133%
-3.568%
0.279%
1.356%
1.356%
UD_TACT
UD TACTICAL
4.813%
-0.17%
1.987%
6.052%
0.641%
-1.023%
15.377%
10.248%
14.479%
-0.159%
1.987%
1.987%
Fiche des performances multi-périodes au 22/09/2023
Code
Description