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Aktualne aktualizacje dla Tabula European [TABD.DE]

Giełda: XETRA
Ostatnio aktualizowano10 kov. 2022 @ 18:36

0.00% 99.30

Live Chart Being Loaded With Signals

Commentary (10 kov. 2022 @ 18:36):

The objective of the Sub-Fund is to track the performance of the Index to within an acceptable tracking error, (which will take into account, amongst other things, the fees and expenses incurred)...

Stats
Dzisiejszy wolumen 702.00
Średni wolumen 72.00
Kapitalizacja rynkowa 0.00
Last Dividend €0 ( N/A )
Next Dividend €0 ( N/A )
P/E 0
ATR14 €0.427 (0.43%)

Wolumen Korelacja

Długi: -0.09 (neutral)
Krótki: 0.00 (neutral)
Signal:(37.485) Neutral

Tabula European Korelacja

10 Najbardziej pozytywne korelacje
10 Najbardziej negatywne korelacje

Did You Know?

Correlation is a statistical measure that describes the relationship between two variables. It ranges from -1 to 1, where -1 indicates a perfect negative correlation (as one variable increases, the other decreases), 1 indicates a perfect positive correlation (as one variable increases, the other increases), and 0 indicates no correlation (there is no relationship between the variables).

Correlation can be used to analyze the relationship between any two variables, not just stocks. It's commonly used in fields such as finance, economics, psychology, and more.

Tabula European Korelacja - Waluta/Towar

The country flag -0.89
( strong negative )
The country flag -0.90
( very strong negative )
The country flag 0.26
( neutral )
The country flag -0.93
( very strong negative )
The country flag 0.20
( neutral )
The country flag 0.67
( moderate )

Financial Reports:

No articles found.

Tabula European

The objective of the Sub-Fund is to track the performance of the Index to within an acceptable tracking error, (which will take into account, amongst other things, the fees and expenses incurred). The Sub-Fund will seek to achieve its investment objective primarily through Index CDS trading activity in order to track, as closely as possible, the performance of the Index. The Sub-Fund will hold long Index CDS (Credit Protection Seller) positions to gain exposure to the Credit Indices. The Sub-Fund may also trade offsetting short Index CDS (the Credit Protection Buyer) positions in order to reduce the net long Index CDS exposures in tracking the Index levels. The Sub-Fund will also seek to replicate the return of the Reference Cash Amount of the Index by investing its cash holdings in Collateral Assets. The Sub-Fund’s ultimate exposure will be to a diversified portfolio of European Investment Grade and Crossover Corporate Credit.

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