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Systematic Global Relative Trends Index

Valor: 110111970 ISIN: CH1101119704 Symbol PSTJRV
Average Community Rating:
Bid (Indicative)

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Ask (Indicative)

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Currency

EUR

Updated at

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Change

Change %

52-week low

98,90

52-week high

101,41

Systematic Global Relative Trends Index

The Index reflects the performance of a virtual investment managed on the basis of a Strategy. This Strategy is determined by the Index Sponsor and the Index Sponsor is solely responsible for it. The Index Calculation Agent neither advises nor assists the Index Sponsor in connection with the preparation or implementation of the Strategy. The Strategy of the Index Sponsor seeks to achieve stable and balanced returns over time as well as a long term capital appreciation in different market conditions with better risk-adjusted performance than the main equity markets. The Index is managed by a fully systematic strategy of the Index Sponsor. The Index Strategy aims to take advantage of the relative trends formation in the main asset classes and equity sectors. The Index spreads risk by selection of global ETF on the main equity, bond, real estate and commodity indices. Short-term assets like T-bills and global government bonds might be used for liquidity management purposes.

Extrafid SA

Manager description unavailable

Performance & Risk

Three Months YTD 2020 2018 2016 Since Inception
Systematic Global Relative Trends Index -0,37% 0,00% - - - 0,00%
Three Months
-0,37%
YTD
0,00%
2020
-
2018
-
2016
-
Since Inception
0,00%

The figures given refer to past performance. Past performance is not a reliable indicator of future performance and should not be the sole decision factor in the selection of a financial instrument. The performance of the financial instrument is displayed on the basis of valuation prices in the investment currency, with reinvested net income. Due to currency fluctuations, your return may be higher or lower if you invest in a currency other than the one in which the past performance has been calculated. All price information relates to the product unless otherwise indicated.

Risk Indicator

The risk indicator is a guide to the level of risk of this product compared to other products.

Index Composition

Breakdown

Master Data

Master Data

Product Type Tracker Certificate
Issue Date 30/04/2021
Issue Price 100,00
Ratio 1,00
Index Systematic Global Relative Trends Index
Currency EUR
Markets(s) SIX SWISS EXCHANGE – STRUCTURED PRODUCTS
Currency Hedged No
Index adjustments According to the Index Guide

Parties

Issuer Vontobel Financial Products Ltd., DIFC Dubai
Guarantor Vontobel Holding AG, Zurich

Costs

Management Fee 1,75
Performance Fee 15,00

Documents

Factsheet

Factsheet

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Termsheet / Final Terms

Termsheet / Final Terms

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English
Key Information Document

Key Information Document

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