1975 |
4X Long Index ld to Eli Lilly & Co. V2 (Price Return)
|
-17,36 % |
1976 |
2X Long Index linked to Progressive Corp. (Price Return)
|
-1,64 % |
1977 |
20X Short Index linked to E-Mini Dow USD5 Future (Price Return)
|
+12,77 % |
1978 |
15X Short Index linked to E-Mini Dow USD5 Future (Price Return)
|
+9,84 % |
1979 |
V-VSTOXX September 2024 Index
|
-25,99 % |
1980 |
iSTX.Leveraged 3X VW Index (EUR) (Net Return)
|
+2,35 % |
1981 |
iSTOXX Single Stock on Siemens GR Decrement 4.04 Idx
|
-0,43 % |
1982 |
iSTOXX 50 Futures Roll TR Decrement 3.75% Index (Price Return)
|
-0,66 % |
1983 |
AsiaPacific RCEP ETF Index
|
-0,54 % |
1984 |
8X Short linked to Corn Future V6 Index (Price Return)
|
-10,17 % |
1985 |
8X Short Index linked to Brent Crude Oil Future V10 (Price Return)
|
+15,38 % |
1986 |
8X S Index linked to Meta Platforms Inc. V7 (Price Return)
|
+30,14 % |
1987 |
7X Long Index linked to Brent Crude Oil Future V7 (Price Return)
|
-13,25 % |
1988 |
4X Short Index linked to Fortinet Inc. (Price Return)
|
+1,47 % |
1989 |
3X Short Index linked to Lowes Companies Inc. (Price Return)
|
+1,19 % |
1990 |
3X Long Index linked to Super Micro Computer Inc (Price Return)
|
+0,86 % |
1991 |
3X Long Index linked to IDEXX Laboratories Inc. (Price Return)
|
-2,09 % |
1992 |
3X Lg Index l. to Solactive Hydrogen Top Selection Index (NTR) (Price Return)
|
+12,02 % |
1993 |
2X Long Index linked to IDEXX Laboratories Inc. (Price Return)
|
-1,36 % |
1994 |
iSTOXX Single Stock on Intel GR Decrement 1.44 I ndex
|
+0,42 % |
1995 |
7X Long Index linked to Cocoa Future V2 (Price Return)
|
-7,82 % |
1996 |
6X Long Index linked to Chipotle Mexican Grill Inc. (Price Return)
|
-11,27 % |
1997 |
3X Long Index ld to Super Micro Computer Inc V2 (Price Return)
|
+0,81 % |
1998 |
2X Short Index linked to IDEXX Laboratories Inc. (Price Return)
|
+1,38 % |
1999 |
10X L Ix linked to ICE FCOJ-A Fe (Orange Juice) (Price Return)
|
-11,73 % |
2000 |
iSTX.Leveraged 3X MBG Index (EUR) (Net Return)
|
+2,72 % |
2001 |
Amber Lion Post Covid Recovery Index
|
+0,28 % |
2002 |
5X Short Index linked to Orsted A/S (Price Return)
|
-15,94 % |
2003 |
5X Short Index linked to Natural Gas (Henry Hub) Future V9 (Price Return)
|
-7,14 % |
2004 |
5X Short Index linked to Applied Materials Inc. V6 (Price Return)
|
+45,13 % |
2005 |
5X Long Index linked to Sherwin-Williams Co. V2 (Price Return)
|
-10,22 % |
2006 |
5X Long Index linked to Eli Lilly & Co. V2 (Price Return)
|
-21,82 % |
2007 |
4X Short Index linked to Hugo Boss AG V2 (Price Return)
|
-5,30 % |
2008 |
4X Long Index linked to Rivian Automotive Inc. (Price Return)
|
-13,49 % |
2009 |
4X Long Index linked to Delivery Hero SE V2 (Price Return)
|
-12,83 % |
2010 |
3X Long Index linked to RTX Corporation (Price Return)
|
-1,20 % |
2011 |
2X Long Index linked to Carnival Corp. (Price Return)
|
-0,92 % |
2012 |
STOXX Global Copper Universe Index (Price Return)
|
+0,30 % |
2013 |
iSTX.Inve.Leveraged -3X XPEV Index (USD) (Net Return)
|
-3,03 % |
2014 |
iSTX.Inve.Leveraged -3X CPNG Index (USD) (Net Return)
|
+11,15 % |
2015 |
iSTOXX Single Stock on STMicroelectronics Index (Gross Return)
|
-3,88 % |
2016 |
iSTOXX Single Stock on Saint Gobain GR Decrement 1.38
|
+1,18 % |