2017 |
EWM Kairos Smart Opportunity Index
|
-1,51 % |
2018 |
8X Short Index linked to Bristol-Myers Squibb Co. V2 (Price Return)
|
+34,45 % |
2019 |
8X Long Index ltoEEX German Power Quarter FutureV9 (Price Return)
|
+8,18 % |
2020 |
8X Long Index linked to E-Mini Dow USD5 Future (Price Return)
|
-5,26 % |
2021 |
8X Long Index linked to Commerzbank AG V7 (Price Return)
|
+5,49 % |
2022 |
7X Long Index linked to E-Mini Dow USD5 Future (Price Return)
|
-4,62 % |
2023 |
6X Long Index linked to Lowes Companies Inc. (Price Return)
|
-2,36 % |
2024 |
6X Long Index linked to Colgate-Palmolive Company (Price Return)
|
+16,84 % |
2025 |
5X Short Index linked to Neste Oyi V4
|
-2,10 % |
2026 |
5X Long Index linked to Mercedes-Benz Group AG V5 (Price Return)
|
+6,47 % |
2027 |
5X Long Index linked to Leonardo S.p.a. V15 (Price Return)
|
-9,82 % |
2028 |
4X Long Index linked to Leonardo S.p.a. (Price Return)
|
-7,89 % |
2029 |
3X Short Index linked to Orsted A/S (Price Return)
|
-9,45 % |
2030 |
3X Long Index linked to E-Mini Dow USD5 Future (Price Return)
|
-1,97 % |
2031 |
3X Lg Index l. to Solactive Blockchain Technology Perfor-Idx (Price Return)
|
-2,59 % |
2032 |
2X Short Index linked to Super Micro Computer Inc (Price Return)
|
-0,30 % |
2033 |
10X Long Index linked to Silver (Troy Ounce) V6 (Price Return)
|
-9,68 % |
2034 |
10X Long Index linked to Alphabet Inc. V3 (Price Return)
|
-21,06 % |
2035 |
10X Long Index linked to AbbVie Inc (Price Return)
|
-22,10 % |
2036 |
VVV-Konzepte Aktienanleihen Index
|
+0,29 % |
2037 |
STOXX Global Copper Universe Index (Price Return)
|
-0,12 % |
2038 |
STOXX Global Copper Universe Index (Net Return)
|
+0,30 % |
2039 |
STOXX Global Copper Universe Index (Gross Return)
|
+0,30 % |
2040 |
STOXX Global Copper and Metals Mining Index (Price Return)
|
+0,13 % |
2041 |
iSTX.Leveraged 3X XPEV Index (USD) (Net Return)
|
+3,06 % |
2042 |
iSTX.Leveraged 3X SMSN Index (USD) (Net Return)
|
+28,53 % |
2043 |
EiSTX 50 PR Inflation AdjustedIndex (EUR) (Price Return)
|
-0,81 % |
2044 |
6X Short Index linked to Home Depot Inc. V8 (Price Return)
|
-4,30 % |
2045 |
6X Long Index linked to Palo Alto Networks Inc. V2 (Price Return)
|
-11,56 % |
2046 |
6X Long Index linked to Applied Materials Inc. V2 (Price Return)
|
-54,63 % |
2047 |
5X Short Index linked to Lockheed Martin Corp (Price Return)
|
+3,92 % |
2048 |
5X Short Index l. to LVMH Moet Hennessy Louis Vuitton SE V8 (Price Return)
|
-1,01 % |
2049 |
5X Long Index linked to Teamviewer AG V17 (Price Return)
|
+10,84 % |
2050 |
5X Long Index linked to Palo Alto Networks Inc. V2 (Price Return)
|
-9,71 % |
2051 |
5X Long Index linked to Palantir Technologies Inc. V2 (Price Return)
|
+41,23 % |
2052 |
4X Short linked to LVMH Moet Hennessy Louis Vuitton V4 Index
|
-0,80 % |
2053 |
4X Short Index linked to Veeva Systems Inc. (Price Return)
|
+25,52 % |
2054 |
4X Long Index linked to Natural Gas (Henry Hub) Future V6 (Price Return)
|
+9,68 % |
2055 |
3X Short Index linked to Advanced Micro Devices Inc. V4 (Price Return)
|
+9,85 % |
2056 |
3X Short Index l. to VIX CBOE Volatility Index (VIX) Future V4 (Price Return)
|
+6,34 % |
2057 |
3X Long Index linked to Hewlett-Packard Co. (Price Return)
|
+1,93 % |
2058 |
3X Long Index linked to Fortinet Inc. (Price Return)
|
-1,09 % |