Capital is at risk. The value of your investment may go down as well as up and you may not get back the amount you invested. Investors should read the Key risks section of this page, Key Investor Information Document and Prospectus prior to investing.

Performance

Les performances passées (réelles ou simulées) ne sont pas un indicateur fiable des performances futures. Le graphique présente des données sur six ans, rebasées à 100.


Column 1 Column 2 Column 3 Column 4 Column 5 Column 6
Dec 19 - Dec 20 Dec 20 - Dec 21 Dec 21 - Dec 22 Dec 22 - Dec 23 Dec 23 - Dec 24
Fonds (après coûts) n/a n/a n/a n/a 3.83%
SOLES01P Index 0.14% -0.28% -0.35% 3.14% 3.85%

Column 1 Column 2 Column 3 Column 4 Column 5 Column 6 Column 7 Column 8 Column 9
YTD 1 mois 1an 3ans (ann.) 5ans (ann.) Depuis le lancement de la part (ann.) Vol Sharpe ratio
Share Class (after fees) 0.09% 0.21% 3.78% n/a n/a 3.90% n/a n/a
SOLES01P Index 0.10% 0.22% 3.83% 2.26% 1.31% 3.91% 0.3% 0.41

Tabula IM/Solactive. Volatility and Sharpe ratio are calculated over a 5-year period.

PRIIPs Performance Scenarios

Column1 Column2 Column3 Column4 Column5
Scenarios Recommended hold period: 5 years If you exit after 1 year If you exit after 3 years If you exit after the 5-year recommended holding period
Stress Scenario What you might get back after costs 4838 $ 5250 $ 5251 $
Stress Scenario Average Return each year -51.62% -19.33% -15.72%
Unfavourable Scenario What you might get back after costs 8443 $ 9070 $ 9420 $
Unfavourable Scenario Average Return each year -15.56% -3.20% -1.19%
Moderate Scenario What you might get back after costs 10255 $ 11325 $ 13616 $
Moderate Scenario Average Return each year 2.56% 4.24% 6.37%
Favourable Scenario What you might get back after costs 13516 $ 14994 $ 16822 $
Favourable Scenario Average Return each year 35.16% 14.46% 10.96%

Risques clés

Contactez-nous pour plus d'information sur les ETF de Tabula.

Courriel  IR@tabulagroup.com