Top
« Back
 

 

Kyna Alternative Opportunities Index

USD | Since 2023-02-06 | i Partners SA

At a glance
ISIN DE000A3D5E16
Index Allocator i Partners SA
Index Currency USD
Index Administrator LIXX
Index Allocator Description

i Partners SA

The manager employs a proprietary quantitative rule based and systematic algorithm in order to determine the allocations.

 

Index description

From the Index Universe, the algorithm chooses such components which fulfill the Index Component Selection Criteria. The strategy’s objective is to produce buy and sell signals of different market indices and equities. Based on these identified signals, the strategy allocates the component to the Index.
The allocation model derives the allocations to each Index Component based on price activity, liquid-ity, applicable technical data inputs, news flow, technical indicators, market access costs and other relevant factors.
In addition, cash holdings within the Index can be represented through highly liquid money market funds or foreign exchange spot positions. When the selection model detects a new signal, the Index Components will be reweighted. The regular screening for signals is done on a continuous basis.

Performance & Risk

Performance
Performance Figures
Return p.a. 25.09%
1-Day-Return 0.03%
MTD Return -7.21%
YTD Return 14.47%
Volatility p.a. 0.0168
Risk Figures
Max. Drawdown 28.39%
Information Ratio -0.03

Composition

High Level Composition Data

Corporate Actions

DATE TYPE INSTRUMENT ISIN/IDENTIFIER WEIGHT % AMOUNT CURRENCY
2026-07-30 DIVIDEND MARVELL TECHNOLOGY INC US5738741041 0.0003 0.0034 USD
2026-07-30 DEDUCTION DE000A3G3KE0 -0.0263 -0.2592 USD
2026-07-29 DIVIDEND NETAPP INC US64110D1046 0.0025 0.0245 USD
2026-07-28 DIVIDEND AKER BP ASA NO0010345853 0.0749 0.7472 NOK
2026-07-28 DEDUCTION DE000A3G3KE0 -0.0349 -0.3485 USD
2026-07-22 DIVIDEND CISCO SYSTEMS INC US17275R1023 0.0209 0.2129 USD
2026-07-21 DIVIDEND MICRON TECHNOLOGY INC US5951121038 0.0003 0.0033 USD
2026-07-15 DIVIDEND HEICO CORP US4228061093 0.0001 0.0015 USD
2026-07-15 DIVIDEND HEICO CORP-CLASS A US4228062083 0.0002 0.0021 USD
2026-07-15 DIVIDEND OCCIDENTAL PETROLEUM CORP US6745991058 0.0034 0.0350 USD
2026-07-10 DIVIDEND JOHNSON CONTROLS INTERNATION IE00BY7QL619 0.0010 0.0107 USD
2026-07-09 DIVIDEND NXP SEMICONDUCTORS NV NL0009538784 0.0024 0.0253 USD
2026-07-08 DIVIDEND LAM RESEARCH CORP US5128073062 0.0017 0.0174 USD
2026-07-07 DIVIDEND GLOBAL X HYDROGEN ETF US37960A4206 0.0029 0.0300 USD
2026-07-07 DIVIDEND ISHARES 1-3 YEAR TREASURY BO US4642874576 -0.0076 -0.0775 USD
2026-07-07 ADDITION DE000A3G3KE0 0.7391 7.5610 USD
2026-07-01 DIVIDEND AUTOMATIC DATA PROCESSING US0530151036 0.0059 0.0628 USD
2026-07-01 DIVIDEND ALBEMARLE CORP US0126531013 0.0018 0.0189 USD
2026-07-01 DIVIDEND HP INC US40434L1052 0.0046 0.0488 USD
2026-06-30 DIVIDEND MURATA MANUFACTURING CO LTD JP3914400001 0.4979 5.3834 JPY
2026-06-30 DIVIDEND BROADCOM INC US11135F1012 0.0047 0.0512 USD
2026-06-30 DIVIDEND TELEFLEX INC US8793691069 0.0010 0.0109 USD
2026-06-29 DIVIDEND SMC CORP JP3162600005 0.3424 3.6517 JPY
2026-06-29 DIVIDEND CORNING INC US2193501051 0.0013 0.0140 USD
2026-06-29 DIVIDEND WILLIAMS COS INC US9694571004 0.0049 0.0521 USD
2026-06-29 DEDUCTION DE000A3G3KE0 -0.0408 -0.4351 USD
2026-06-29 DEDUCTION DE000A3G3KE0 -0.0816 -0.8702 USD
2026-06-29 ADDITION DE000A3G3KE0 0.0517 0.5509 USD
2026-06-29 DEDUCTION DE000A3G3KE0 -0.0326 -0.3481 USD
2026-06-29 DEDUCTION DE000A3G3KE0 -0.0427 -0.4551 USD
2026-06-26 DIVIDEND NVIDIA CORP US67066G1040 0.0005 0.0052 USD
2026-06-26 DIVIDEND VANGUARD INFO TECH ETF US92204A7028 0.0005 0.0054 USD
2026-06-26 ADDITION DE000A3G3KE0 0.1739 1.8335 USD
2026-06-26 ADDITION DE000A3G3KE0 0.3477 3.6671 USD
2026-06-26 ADDITION DE000A3G3KE0 0.1826 1.9252 USD
2026-06-25 DIVIDEND CME GROUP INC US12572Q1058 0.0063 0.0676 USD
2026-06-25 DIVIDEND QUALCOMM INC US7475251036 0.0015 0.0164 USD
2026-06-25 ADDITION DE000A3G3KE0 0.0176 0.1900 USD
2026-06-24 DIVIDEND KOMATSU LTD JP3304200003 2.2611 23.8637 JPY
2026-06-24 DIVIDEND SS TECHNOLOGY SELECT SECTOR US81369Y8030 0.0010 0.0110 USD
2026-06-23 DIVIDEND SONOVA HOLDING AG-REG CH0012549785 0.0083 0.0876 CHF
2026-06-22 DIVIDEND AJINOMOTO CO INC JP3119600009 0.5486 5.9971 JPY
2026-06-22 DIVIDEND NEWMONT CORP US6516391066 0.0009 0.0094 USD
2026-06-22 DEDUCTION DE000A3G3KE0 -0.0082 -0.0891 USD
2026-06-22 DEDUCTION DE000A3G3KE0 -0.2544 -2.7810 USD
2026-06-19 ADDITION DE000A3G3KE0 0.0170 0.1837 USD
2026-06-18 DIVIDEND ISHARES MSCI ACWI ETF US4642882579 -0.4568 -4.9442 USD
2026-06-18 DIVIDEND ISHARES US TELECOMMUNICATION US4642877132 0.0029 0.0319 USD
2026-06-17 DIVIDEND OLD DOMINION FREIGHT LINE US6795801009 0.0011 0.0113 USD
2026-06-17 DIVIDEND WESTERN DIGITAL CORP US9581021055 0.0002 0.0024 USD
2026-06-16 DIVIDEND SKYWORKS SOLUTIONS INC US83088M1027 0.0041 0.0434 USD
2026-06-15 DIVIDEND BARRICK MINING CORP CA06849F1080 0.0033 0.0358 USD
2026-06-15 DIVIDEND NEWELL BRANDS INC US6512291062 0.0127 0.1370 USD
2026-06-15 DEDUCTION DE000A3G3KE0 -0.0240 -0.2590 USD
2026-06-15 ADDITION DE000A3G3KE0 0.0590 0.6376 USD
2026-06-12 DIVIDEND EBAY INC US2786421030 0.0020 0.0212 USD
2026-06-12 ADDITION DE000A3G3KE0 8.1488 86.8220 USD
2026-06-12 DEDUCTION DE000A3G3KE0 -0.0325 -0.3467 USD
2026-06-12 DEDUCTION DE000A3G3KE0 -0.0730 -0.7772 USD
2026-06-11 DIVIDEND APPLIED MATERIALS INC US0382221051 0.0015 0.0163 USD
2026-06-11 DEDUCTION DE000A3G3KE0 -0.5313 -5.6112 USD
2026-06-11 DEDUCTION DE000A3G3KE0 -0.0177 -0.1870 USD
2026-06-11 ADDITION DE000A3G3KE0 0.4712 4.9757 USD
2026-06-10 DIVIDEND AMERICAN ELECTRIC POWER US0255371017 0.0055 0.0568 USD
2026-06-10 DIVIDEND ELI LILLY & CO US5324571083 0.0008 0.0082 USD
2026-06-10 DIVIDEND MARATHON PETROLEUM CORP US56585A1025 0.0033 0.0337 USD
2026-06-09 DIVIDEND NITORI HOLDINGS CO LTD JP3756100008 0.3911 4.1081 JPY
2026-06-09 DIVIDEND JOHNSON & JOHNSON US4781601046 0.0048 0.0507 USD
2026-06-08 DEDUCTION DE000A3G3KE0 -0.1792 -1.8890 USD
2026-06-05 DIVIDEND ALCOA CORP US0138721065 0.0007 0.0068 USD
2026-06-05 DIVIDEND HONEYWELL INTERNATIONAL INC US4385161066 0.0023 0.0241 USD
2026-06-05 DIVIDEND MICROCHIP TECHNOLOGY INC US5950171042 0.0038 0.0393 USD
2026-06-04 DIVIDEND ISHARES 1-3 YEAR TREASURY BO US4642874576 -0.0080 -0.0867 USD
2026-06-04 ADDITION DE000A3G3KE0 1.1890 12.9160 USD
2026-06-04 ADDITION DE000A3G3KE0 0.1567 1.7021 USD
2026-06-04 ADDITION DE000A3G3KE0 0.0645 0.7009 USD
2026-06-04 ADDITION DE000A3G3KE0 0.1936 2.1026 USD
2026-06-03 ADDITION DE000A3G3KE0 0.0172 0.1911 USD
2026-06-02 ADDITION DE000A3G3KE0 0.1009 1.0979 USD
2026-06-02 ADDITION DE000A3G3KE0 0.2476 2.6949 USD
2026-06-02 ADDITION DE000A3G3KE0 0.1187 1.2920 USD
2026-06-02 ADDITION DE000A3G3KE0 0.0734 0.7985 USD
2026-06-02 ADDITION DE000A3G3KE0 3.4006 37.0114 USD
2026-06-01 DIVIDEND CONOCOPHILLIPS US20825C1045 0.0117 0.1247 USD
2026-06-01 DIVIDEND EQT CORP US26884L1098 0.0012 0.0126 USD
2026-06-01 ADDITION DE000A3G3KE0 0.7168 7.6250 USD
2026-06-01 ADDITION DE000A3G3KE0 2.0730 22.0505 USD
2026-05-29 DIVIDEND CF INDUSTRIES HOLDINGS INC US1252691001 0.0036 0.0379 USD
2026-05-28 DIVIDEND YARA INTERNATIONAL ASA NO0010208051 0.1518 1.5832 NOK
2026-05-28 ADDITION DE000A3G3KE0 0.0502 0.5233 USD
2026-05-22 DIVIDEND APA CORP US03743Q1085 0.0064 0.0641 USD
2026-05-21 DIVIDEND AKER BP ASA NO0010345853 0.0685 0.6746 NOK
2026-05-21 DIVIDEND DIAMONDBACK ENERGY INC US25278X1090 0.0112 0.1100 USD
2026-05-20 DEDUCTION DE000A3G3KE0 -0.1640 -1.6048 USD
2026-05-19 DIVIDEND TEXAS INSTRUMENTS INC US8825081040 0.0025 0.0242 USD
2026-05-15 DIVIDEND CASEY'S GENERAL STORES INC US1475281036 0.0007 0.0066 USD
2026-05-15 DIVIDEND KINDER MORGAN INC US49456B1017 0.0168 0.1646 USD
2026-05-14 DIVIDEND CONSTELLATION BRANDS INC-A US21036P1084 0.0055 0.0542 USD
2026-05-11 DIVIDEND AIR PRODUCTS & CHEMICALS INC US0091581068 0.0052 0.0512 USD
2026-05-08 DIVIDEND IMCD NV NL0010801007 0.0178 0.1720 EUR
2026-05-08 DIVIDEND YASKAWA ELECTRIC CORP JP3932000007 0.5058 4.8820 JPY
2026-05-08 DIVIDEND DEERE & CO US2441991054 0.0097 0.0935 USD
2026-05-08 DEDUCTION DE000A3G3KE0 -0.2286 -2.2062 USD
2026-05-08 DEDUCTION DE000A3G3KE0 -0.2584 -2.4939 USD
2026-05-08 DEDUCTION DE000A3G3KE0 -0.0596 -0.5755 USD
2026-05-08 DEDUCTION DE000A3G3KE0 -0.0399 -0.3854 USD
2026-05-06 DIVIDEND BOLIDEN AB SE0020050417 0.2255 2.1626 SEK
2026-05-06 DIVIDEND ISHARES 1-3 YEAR TREASURY BO US4642874576 -0.0099 -0.0945 USD
2026-05-01 DIVIDEND FREEPORT-MCMORAN INC US35671D8570 0.0059 0.0558 USD
2026-04-30 DIVIDEND MARVELL TECHNOLOGY INC US5738741041 0.0016 0.0157 USD
2026-04-30 DIVIDEND SS SPDR S&P 500 ETF TRUST-US US78462F1030 -0.1942 -1.8448 USD
2026-04-28 DIVIDEND E.ON SE DE000ENAG999 -0.0000 -0.0004 EUR
2026-04-22 DEDUCTION DE000A3G3KE0 -0.1219 -1.1258 USD
2026-04-21 DIVIDEND DOLLAR GENERAL CORP US2566771059 0.0041 0.0378 USD
2026-04-21 ADDITION DE000A3G3KE0 0.0504 0.4664 USD
2026-04-15 DIVIDEND VOLVO AB-B SHS SE0000115446 0.3053 2.7921 SEK
2026-04-15 DIVIDEND CARDINAL HEALTH INC US14149Y1082 0.0011 0.0100 USD
2026-04-15 DIVIDEND MOTOROLA SOLUTIONS INC US6200763075 0.0037 0.0336 USD
2026-04-15 DIVIDEND MICRON TECHNOLOGY INC US5951121038 0.0015 0.0140 USD
2026-04-14 DEDUCTION DE000A3G3KE0 -0.1228 -1.1421 USD
2026-04-13 DEDUCTION DE000A3G3KE0 -0.0202 -0.1897 USD
2026-04-13 DEDUCTION DE000A3G3KE0 -2.5760 -24.1821 USD
2026-04-10 DIVIDEND JOHNSON CONTROLS INTERNATION IE00BY7QL619 0.0016 0.0150 USD
2026-04-08 DIVIDEND LAM RESEARCH CORP US5128073062 0.0006 0.0053 USD
2026-04-07 DIVIDEND MERCK & CO INC US58933Y1055 0.0251 0.2344 USD
2026-04-07 DIVIDEND ISHARES 1-3 YEAR TREASURY BO US4642874576 -0.0099 -0.0929 USD
2026-04-02 DIVIDEND C.H. ROBINSON WORLDWIDE INC US12541W2098 0.0059 0.0551 USD
2026-04-01 DIVIDEND ALBEMARLE CORP US0126531013 0.0034 0.0318 USD
2026-04-01 DIVIDEND FEDEX CORPORATION US31428X1063 0.0066 0.0612 USD
2026-03-31 DIVIDEND BROADCOM INC US11135F1012 0.0053 0.0487 USD
2026-03-31 DIVIDEND DEVON ENERGY CORP US25179M1036 0.0073 0.0668 USD
2026-03-31 DIVIDEND PEPSICO INC US7134481081 0.0236 0.2171 USD
2026-03-30 DIVIDEND GILEAD SCIENCES INC US3755581036 0.0278 0.2580 USD
2026-03-30 DIVIDEND CORNING INC US2193501051 0.0023 0.0215 USD
2026-03-30 DIVIDEND GOLDMAN SACHS GROUP INC US38141G1040 0.0178 0.1651 USD
2026-03-26 DIVIDEND EXPEDIA GROUP INC US30212P3038 0.0021 0.0194 USD
2026-03-25 DEDUCTION DE000A3G3KE0 -1.7149 -15.9302 USD
2026-03-25 DEDUCTION DE000A3G3KE0 -0.0484 -0.4500 USD
2026-03-23 DEDUCTION DE000A3G3KE0 -0.0097 -0.0876 USD
2026-03-20 DIVIDEND ISHARES US TELECOMMUNICATION US4642877132 0.0020 0.0186 USD
2026-03-20 DIVIDEND L3HARRIS TECHNOLOGIES INC US5024311095 0.0030 0.0277 USD
2026-03-19 DIVIDEND GENERAL MOTORS CO US37045V1008 0.0161 0.1466 USD
2026-03-19 DIVIDEND RTX CORP US75513E1010 0.0126 0.1146 USD
2026-03-19 ADDITION DE000A3G3KE0 0.2213 2.0121 USD
2026-03-18 DIVIDEND EQUINIX INC US29444U7000 0.0049 0.0449 USD
2026-03-18 DIVIDEND VIATRIS INC US92556V1061 0.0066 0.0598 USD
2026-03-18 DIVIDEND WESTERN DIGITAL CORP US9581021055 0.0006 0.0056 USD
2026-03-18 DEDUCTION DE000A3G3KE0 -0.1467 -1.3324 USD
2026-03-16 DIVIDEND ROCHE HOLDING AG-GENUSSCHEIN CH0012032048 0.0207 0.1854 CHF
2026-03-16 DIVIDEND ESTEE LAUDER COMPANIES-CL A US5184391044 0.0043 0.0389 USD
2026-03-16 DIVIDEND ALPHABET INC-CL C US02079K1079 0.0003 0.0030 USD
2026-03-16 DIVIDEND ALPHABET INC-CL A US02079K3059 0.0023 0.0205 USD
2026-03-16 ADDITION DE000A3G3KE0 0.2181 1.9567 USD
2026-03-16 DEDUCTION DE000A3G3KE0 -0.3884 -3.4854 USD
2026-03-13 DEDUCTION DE000A3G3KE0 -0.0295 -0.2654 USD
2026-03-12 DIVIDEND APPLIED MATERIALS INC US0382221051 0.0052 0.0467 USD
2026-03-10 DIVIDEND ELI LILLY & CO US5324571083 0.0028 0.0257 USD
2026-03-09 DEDUCTION DE000A3G3KE0 -0.3649 -3.2680 USD
2026-03-05 DIVIDEND CUMMINS INC US2310211063 0.0035 0.0313 USD
2026-03-05 DIVIDEND REGENERON PHARMACEUTICALS US75886F1075 0.0022 0.0199 USD
2026-03-05 DIVIDEND ISHARES 1-3 YEAR TREASURY BO US4642874576 -0.0091 -0.0820 USD
2026-03-03 DEDUCTION DE000A3G3KE0 -0.0202 -0.1835 USD

Print Report

Generate PDF