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W & S Sondersituationen Index

EUR | Since 2017-04-27 |

At a glance
ISIN DE000A2DB784
Index Currency EUR
Index Administrator LIXX
Index Allocator Description

Instifolio

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

 

Index description

The index is an opportunistically oriented index developed for the European market, quoted in EURO. The aim of the index is to identify inefficiencies in exchange-traded instruments and to realise the resulting excess returns over time. The index reflects an investment universe that encompasses all asset classes. The reference currency of the index is EUR.

Performance & Risk

Performance
Performance Figures
Return p.a. 9.36%
1-Day-Return -0.03%
MTD Return 0.59%
YTD Return 2.50%
Volatility p.a. 0.0068
Risk Figures
Max. Drawdown 10.09%
Information Ratio 0.79

Composition

High Level Composition Data

Corporate Actions

DATE TYPE INSTRUMENT ISIN/IDENTIFIER WEIGHT % AMOUNT CURRENCY
2026-07-31 ADDITION DE000A2FTXP3 0.1035 1.8412 EUR
2026-07-28 DEDUCTION DE000A2FTXP3 -0.5628 -10.0379 EUR
2026-06-30 ADDITION DE000A2FTXP3 0.1443 2.5474 EUR
2026-06-23 ADDITION DE000A2FTXP3 0.4516 8.0286 EUR
2026-06-22 ADDITION DE000A2FTXP3 0.0617 1.0852 EUR
2026-06-22 DIVIDEND VALUE-HOLDINGS AG DE0007600405 0.0069 0.1207 EUR
2026-06-19 DEDUCTION DE000A2FTXP3 -0.1047 -1.8364 EUR
2026-06-18 DIVIDEND CS EUROREAL DE0009805002 0.1173 2.0591 EUR
2026-06-11 DEDUCTION DE000A2FTXP3 -0.0631 -1.1192 EUR
2026-06-09 ADDITION DE000A2FTXP3 0.1657 2.9394 EUR
2026-06-05 ADDITION DE000A2FTXP3 0.3153 5.5805 EUR
2026-06-02 DIVIDEND NORDIX EUROPEAN C.C.C DE000A2P37M1 0.2060 3.6772 EUR
2026-06-01 ADDITION DE000A2FTXP3 0.0413 0.7377 EUR
2026-06-01 DIVIDEND DIERIG HOLDING AG O.N. DE0005580005 0.0193 0.3456 EUR
2026-06-01 DIVIDEND SCHERZER U. CO. AG O.N. DE0006942808 0.0186 0.3326 EUR
2026-05-28 ADDITION DE000A2FTXP3 0.6277 11.2339 EUR
2026-05-27 DIVIDEND EFF.-SPIEGEL VZO DE0005647630 0.1149 2.0555 EUR
2026-05-26 DEDUCTION DE000A2FTXP3 -0.1055 -1.8903 EUR
2026-05-06 ADDITION DE000A2FTXP3 0.2095 3.7534 EUR
2026-04-30 DIVIDEND NORWAY 18-28 NO0010821598 0.0328 0.5813 EUR
2026-04-24 ADDITION DE000A2FTXP3 0.8442 15.0541 EUR
2026-04-24 DEDUCTION DE000A2FTXP3 -0.0848 -1.5116 EUR
2026-03-27 ADDITION DE000A2FTXP3 0.2116 3.7383 EUR
2026-03-24 ADDITION DE000A2FTXP3 0.1488 2.6234 EUR
2026-03-06 ADDITION DE000A2FTXP3 1.0484 18.5249 EUR

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