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Flex EUR Index

EUR | Since 2023-01-17 | i Partners SA

At a glance
ISIN DE000A3D4SQ8
Index Allocator i Partners SA
Index Currency EUR
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. 28.96%
1-Day-Return 0.62%
MTD Return -3.22%
YTD Return 11.63%
Volatility p.a. 0.0204
Risk Figures
Max. Drawdown 21.20%
Information Ratio 0.91

Composition

High Level Composition Data

Corporate Actions

DATE TYPE INSTRUMENT ISIN/IDENTIFIER WEIGHT % AMOUNT CURRENCY
2026-07-30 DEDUCTION DE000A3G2177 -0.0495 -0.7647 EUR
2026-07-29 DEDUCTION DE000A3G2177 -0.1508 -2.3171 EUR
2026-07-27 DEDUCTION DE000A3G2177 -0.1270 -1.9832 EUR
2026-07-22 DIVIDEND CISCO SYSTEMS INC US17275R1023 0.0060 0.0948 USD
2026-07-21 DEDUCTION DE000A3G2177 -0.0422 -0.6682 EUR
2026-07-15 DEDUCTION DE000A3G2177 -0.0070 -0.1119 EUR
2026-07-09 DIVIDEND GSK PLC GB00BN7SWP63 0.0137 0.2200 GBP
2026-07-08 DEDUCTION DE000A3G2177 -0.8667 -13.7080 EUR
2026-07-08 DIVIDEND REPSOL SA ES0173516115 0.0350 0.5531 EUR
2026-07-07 DIVIDEND GLOBAL X HYDROGEN ETF US37960A4206 0.0109 0.1735 USD
2026-07-03 DEDUCTION DE000A3G2177 -0.5934 -9.5429 EUR
2026-07-03 DEDUCTION DE000A3G2177 -0.1432 -2.3035 EUR
2026-07-03 DEDUCTION DE000A3G2177 -0.0205 -0.3301 EUR
2026-07-02 ADDITION DE000A3G2177 0.0268 0.4293 EUR
2026-06-29 DEDUCTION DE000A3G2177 -0.1019 -1.6228 EUR
2026-06-26 DIVIDEND BP PLC GB0007980591 0.0171 0.2721 GBP
2026-06-26 DIVIDEND NVIDIA CORP US67066G1040 0.0019 0.0309 USD
2026-06-25 ADDITION DE000A3G2177 0.0551 0.8808 EUR
2026-06-24 DIVIDEND SS TECHNOLOGY SELECT SECTOR US81369Y8030 0.0021 0.0336 USD
2026-06-24 DIVIDEND STMICROELECTRONICS NV NL0000226223 0.0001 0.0009 USD
2026-06-24 DEDUCTION DE000A3G2177 -0.1164 -1.8413 EUR
2026-06-18 DIVIDEND ISHARES US TELECOMMUNICATION US4642877132 0.0123 0.1957 USD
2026-06-16 DEDUCTION DE000A3G2177 -0.8088 -12.6362 EUR
2026-06-16 DEDUCTION DE000A3G2177 -1.4584 -22.7847 EUR
2026-06-12 DEDUCTION DE000A3G2177 -2.2064 -34.7930 EUR
2026-06-11 DEDUCTION DE000A3G2177 -3.0376 -47.6093 EUR
2026-06-11 DEDUCTION DE000A3G2177 -0.7956 -12.4690 EUR
2026-06-05 DEDUCTION DE000A3G2177 -0.0667 -1.0521 EUR
2026-06-04 DIVIDEND BAE SYSTEMS PLC GB0002634946 0.0143 0.2303 GBP
2026-06-02 ADDITION DE000A3G2177 0.0183 0.2958 EUR
2026-06-02 DIVIDEND NN GROUP NV NL0010773842 0.0448 0.7243 EUR
2026-05-28 ADDITION DE000A3G2177 0.0943 1.4971 EUR
2026-05-25 DEDUCTION DE000A3G2177 -0.2728 -4.3374 EUR
2026-05-22 DEDUCTION DE000A3G2177 -0.0242 -0.3830 EUR
2026-05-22 DIVIDEND EIFFAGE FR0000130452 0.0431 0.6823 EUR
2026-05-08 DEDUCTION DE000A3G2177 -0.0361 -0.5506 EUR
2026-05-08 DEDUCTION DE000A3G2177 -0.4930 -7.5088 EUR
2026-05-08 DEDUCTION DE000A3G2177 -0.1091 -1.6621 EUR
2026-05-08 DEDUCTION DE000A3G2177 -0.3638 -5.5404 EUR
2026-05-07 DIVIDEND BRITISH AMERICAN TOBACCO PLC GB0002875804 0.0215 0.3252 GBP
2026-05-07 DIVIDEND NOKIA OYJ FI0009000681 0.0096 0.1452 EUR
2026-04-30 DIVIDEND SS SPDR S&P 500 ETF TRUST-US US78462F1030 -0.0874 -1.3098 USD
2026-04-23 DIVIDEND KONINKLIJKE AHOLD DELHAIZE N NL0011794037 0.0256 0.3782 EUR
2026-04-22 DEDUCTION DE000A3G2177 -0.2300 -3.3738 EUR
2026-04-21 DEDUCTION DE000A3G2177 -0.0317 -0.4622 EUR
2026-04-21 DIVIDEND RIO TINTO PLC GB0007188757 0.0420 0.6109 GBP
2026-04-15 DIVIDEND ISHARES EUR 600 UTILITIES DE DE000A0Q4R02 -0.0064 -0.0947 EUR
2026-04-15 DIVIDEND ISHARES EUR 600 TELECOMS DE DE000A0H08R2 -0.0093 -0.1373 EUR
2026-04-15 DIVIDEND ISHR EUROPE600 OIL & GAS DE DE000A0H08M3 -0.0244 -0.3597 EUR
2026-04-08 DEDUCTION DE000A3G2177 -1.2191 -18.1144 EUR
2026-04-08 DEDUCTION DE000A3G2177 -0.4814 -7.1538 EUR
2026-04-07 DIVIDEND ISHARES 7-10 YEAR TREASURY B US4642874402 0.0265 0.3966 USD
2026-03-25 DEDUCTION DE000A3G2177 -0.0785 -1.1415 EUR
2026-03-25 DEDUCTION DE000A3G2177 -0.1509 -2.1952 EUR
2026-03-20 DIVIDEND ISHARES US TELECOMMUNICATION US4642877132 0.0065 0.0922 USD
2026-03-18 DEDUCTION DE000A3G2177 -0.0857 -1.2697 EUR
2026-03-16 DEDUCTION DE000A3G2177 -0.0368 -0.5426 EUR
2026-03-16 DIVIDEND ALPHABET INC-CL A US02079K3059 0.0011 0.0167 USD
2026-03-16 DIVIDEND ROCHE HOLDING AG-GENUSSCHEIN CH0012032048 0.0590 0.8705 CHF
2026-03-13 ADDITION DE000A3G2177 0.0365 0.5403 EUR
2026-03-13 DEDUCTION DE000A3G2177 -0.0489 -0.7232 EUR
2026-03-13 DEDUCTION DE000A3G2177 -1.1221 -16.5936 EUR
2026-03-10 DEDUCTION DE000A3G2177 -0.0060 -0.0893 EUR
2026-03-10 DIVIDEND JOHNSON & JOHNSON US4781601046 0.0184 0.2747 USD
2026-03-06 DEDUCTION DE000A3G2177 -0.2891 -4.2572 EUR

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