Our performance in February 2025 is 2.8% (YTD: 10.0%). Since the start in May 2019, our performance is 139.5% vs. 107.2% for the MSCI World. The fund value per unit as of February 2025 is EUR 239.48.
January 2025: Fund Performance 7.0%
Our performance in January 2025 is 7.0% (YTD: 7.0%). Since the start in May 2019, our performance is 133.0% vs. 108.8% for the MSCI World. The fund value per unit as of January 2025 is EUR 233.00.
December 2024: Fund Performance 0.2%
Happy New Year!
Our performance in December 2024 is 0.2% (YTD: 19.3%). Since the start in May 2019, our performance is 117.8% vs. 102.5% for the MSCI World. The fund value per unit as of December 2024 is EUR 217.80.
November 2024: Fund Performance (10.2%)
Our performance in November 2024 is 10.2% (YTD: 19.0%). Since the start in May 2019, our performance is 117.4% vs. 103.8% for the MSCI World. The fund value per unit as of November 2024 is EUR 217.35.
October 2024: Fund Performance (0.2%)
Our performance in October 2024 is 0.2% (YTD: 8.1%). Since the start in May 2019, our performance is 97.3% vs. 90.6% for the MSCI World. The fund value per unit as of October 2024 is EUR 197.30.