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Investors should consider the investment objectives, risks, charges and expenses of the Fund/Portfolio carefully before investing. The Fund’s sponsor has no legal obligation to provide financial support to the Fund, and you should not expect that the sponsor will provide financial support to the Fund at any time. Although the Fund seeks to preserve the value of your investment at $1.00 per share, it is possible to lose money by investing in the Fund. Liquidity Risk: The difficulty of purchasing or selling a security at an advantageous time or price.Īn investment in the Fund is not insured or guaranteed by the Federal Deposit Insurance Corporation or any other government agency. Interest Rate Risk: As interest rates rise, bond prices fall and vice versa, long-term securities tend to rise and fall more than short-term securities. Down capture measures the percentage of market losses endured when markets are down. Up capture measures the percentage of market gains captured when markets are up. Tracking error is the difference in actual performance between a portfolio and its corresponding benchmark. Standard deviation is a measure of the dispersion of a portfolio’s return from its mean. A higher Sharpe ratio means the fund’s returns have been better given the level of risk the fund has taken. Popular Searches MyMoney AB MyMoney MyMoney Billn Mymoney Europe Revenue 3. The company is headquartered in Malmoe, Skane, Sweden. It employs 11-20 people and has 1M-5M of revenue. Sharpe ratio is a measure of the fund’s return relative to the investment risk it has taken. 39 stergatan, Malmoe, Skane, 21122, Sweden +46 770176060 MyMoney Profile and History MyMoney AB is a company that operates in the Facilities Services industry. R-squared is the percentage of a portfolio’s price movements that can be explained by movements in a benchmark index. Information ratio is a measurement of portfolio returns beyond the returns of a benchmark, compared to the volatility of those returns. Duration is a measure of the sensitivity of an asset or portfolio’s price to interest rate movements. Beta is a measure of an investment’s volatility in comparison to the market as a whole. Alpha is the risk-adjusted measurement of "excess return" over a benchmark.
