Gvie Diversifié 1
Ticker
FR0010737510.PA
ISIN
FR001073751
Price
EUR 121,662.00
Change Today
-56.00 / -0.046 %
Price 1 year ago
100,000.00 / 21.662 %
Morningstar
5
52 Week Low
93,751.00
52 Week High
126,668.00
200 Day Moving Average 110,799.39
110,799.39
50-day Moving Average
115,536.44
Price evolution
Yearly returns
Peers comparison
Risk factors
1 year
Parameter | Value |
---|
1 year
Parameter | Value |
---|
History
Parameter | Value |
---|---|
Average Annual Return | 20.758% |
Average Annual Volatility | 14.75% |
Sharpe Ratio | 1.41 |
Sortino Ratio | 0.99 |
Maximum Drawdown | -14.000000000000002% |
Maximum Drawdown Date | 2011-11-25 |
Calmar Ratio | -3.11 |
Company information
Summary
Le Fonds a pour objectif de réaliser durablement une performance supérieure à celle d’un portefeuille diversifié sur la zone Euro, dont les actifs seraient composés de 80% d’obligations ou de titres de créance, de 10% d’obligations convertibles et de 10% d’actions sur un horizon de placement supérieur à 8 ans en surperformant son indicateur dé référence composé de 10% du MSCI EMU, de 10% de l’ Exane Eurozone Convertible Bond Index et d’un indicateur composite obligataire.
Market
US
Category
Foreign Large Growth
Expense Ratio
-
Fund family
-
Morningstar
5
Yield
-
Exchange
YHD
Sector | Weight |
---|---|
Consumer cyclical | 15.28% |
Financial services | 15.15% |
Industrials | 14.80% |
Consumer defensive | 13.28% |
Healthcare | 9.81% |
Technology | 9.39% |
Basic materials | 8.08% |
Communication services | 5.17% |
Energy | 4.63% |
Utilities | 3.46% |
Realestate | 0.95% |
None
Holdings
Alternative funds
Ticker | Name | Isin | Exchange | Expenses | Morningstar | Alpha | Beta |
---|---|---|---|---|---|---|---|
FR0000286296.PA | LBPAM Actions Diversifié | FR000028629 | YHD | 1.31% | 5 | ||
FR0000989279.PA | LBPAM Diversifié Focus Actions | FR000098927 | YHD | 1.70% | 5 | ||
FR0000989287.PA | LBPAM Diversifié Focus Oblig | FR000098928 | YHD | 1.23% | 5 | ||
FR0000989295.PA | LBPAM Diversifié Equilibre | FR000098929 | YHD | 1.40% | 5 | ||
FR0007022124.PA | UFF Cap Diversifié | FR000702212 | YHD | 3.36% | 5 | ||
FR0007028543.PA | Lazard Patrimoine Diversifié | FR000029230 | YHD | 1.55% | 5 | ||
FR0007084645.PA | S. Active Diversifié ISR | FR000708464 | YHD | 0.24% | 5 | ||
FR0010185637.PA | Amundi Resa Oblig Diversifié | FR0010185637 | YHD | 0.60% | 5 | ||
FR0010286740.PA | SG Diversifié France 85 | FR001028674 | YHD | 2.33% | 5 | ||
FR0010551424.PA | Darwin Diversifié 60-80 | FR001055142 | YHD | 2.31% | 5 | ||
FR0010551457.PA | Darwin Diversifié 80-100 | FR001055145 | YHD | 2.97% | 5 | ||
FR0010551689.PA | Darwin Diversifié 0-20 | FR001055168 | YHD | 1.52% | 5 | ||
FR0010551697.PA | Darwin Diversifié 20-40 | FR001055169 | YHD | 1.60% | 5 | ||
FR0010551705.PA | Darwin Diversifié 40-60 | FR001055170 | YHD | 2.21% | 5 | ||
FR0010737510.PA | Gvie Diversifié 1 | FR001073751 | YHD | 5 | Candriam World Alternative Alphamax C EUR | ||
FR0010959643.PA | LBPAM Actions Diversifié A A/I | FR000007776 | YHD | 1.38% | 5 | ||
FR0011062132.PA | UFF Cap Diversifié I | FR000702212 | YHD | 5 | |||
FR0011573021.PA | Regard Obligations Diversifiées | FR001157302 | YHD | 5 | |||
FR0012620342.PA | Objectif Epargne Diversifié I | FR000702854 | YHD | 5 |
Sustainability scores
Events
Indicators
Glossary
- Momentum
- A technical indicator that measures the rate of change in price movements over a specific period. It indicates the strength or weakness of a price trend.
Assessment: A positive momentum value generally indicates a good trend, while a negative value suggests a weak or downward trend.
- Inertia
- In trading, inertia refers to the tendency of prices to continue moving in their current direction. It suggests that an asset's price will likely maintain its current trend.
Assessment: A higher inertia value is generally considered good, as it indicates a strong and sustained price trend.
- Relative Strength Index (RSI)
- A momentum oscillator that measures the speed and change of price movements. It helps identify overbought or oversold conditions in an asset.
Assessment: An RSI value above 70 is typically considered overbought and may suggest a potential reversal or correction. Conversely, an RSI value below 30 is often considered oversold, indicating a possible upward price correction.
- Fibonacci's Weighted Moving Average
- A technical indicator that assigns different weights to recent data points, giving more significance to recent prices. It helps smooth out price fluctuations and identify trend reversals.
Assessment: The interpretation of the Fibonacci's Weighted Moving Average value depends on its comparison to other moving averages or trendlines. A value above 50 may indicate an uptrend, while a value below 50 may suggest a downtrend.
- Williams %R
- A momentum indicator that measures overbought or oversold conditions in an asset. It shows the relationship of the current closing price to the high-low range over a specified period.
Assessment: Williams %R values above -20 are typically considered overbought and may indicate a potential price reversal. Values below -80 are often viewed as oversold, suggesting a potential price bounce.
- Relative Volatility Index (RVI)
- A technical indicator that measures the volatility of a security by comparing the magnitude of recent price movements to the magnitude of average price changes. It helps identify periods of high or low volatility.
Assessment: A higher RVI value suggests higher volatility, which can provide trading opportunities but also carries increased risk.
- Commodity Channel Index (CCI)
- A versatile indicator that measures the current price level relative to an average price level over a given period. It helps identify overbought or oversold conditions and potential trend reversals.
Assessment: CCI values above 100 are often considered overbought, indicating a potential price correction or reversal. Values below -100 are typically viewed as oversold, suggesting a potential price rebound.