In addition to the elements explained in the general Full Quote section, the Full Quote for a fund also shows the following data:
Prices
|
Field |
Description |
|---|---|
|
Bid/ask price or Redemption/
|
The current bid or ask price of the fund. At the "Investment fund" trading venue, "Redemption" and "Issue" are displayed instead.
|
|
NAV |
The net asset value of a fund unit. |
|
Fund volume subfund level
|
The fund volume of the subfund level in the displayed currency. |
|
Fund volume subfund date |
The date on which the fund volume of the subfund level was determined. |
|
Fund volume shareclass level |
The fund volume of the asset class level in the displayed currency. |
Characteristics
|
Field |
Description |
|---|---|
|
Security category |
The category of the fund. |
|
Company |
The corresponding fund company. |
|
Company country
|
The country of the fund issuer. |
|
Allocation |
The type or composition of the fund. |
|
Distribution type |
The distribution type of the fund, that is, "Accumulating" or "Distributing". |
|
Distribution frequency |
The distribution frequency type of the fund, for example "Annually". |
|
Date/Payment |
The date and payment amount of the distribution. |
|
UCITS/AIF |
Shows if it is a UCITS (Undertakings for Collective Investment in Transferable Securities) or an AIF (Alternative Investment Fund)
UCITS:
AIF:
|
Key Figures
|
Field |
Description |
|---|---|
|
Issue date |
The fund's launch date. |
|
1Y perf. |
The 1 year performance of the fund. |
|
3Y perf. |
The 3 year performance of the fund. |
|
5Y perf. |
The 5 year performance of the fund. |
|
1Y vola. |
The 1 year volatility of the fund. |
|
Category benchmark |
The category benchmark of the fund (if specified), for example Dow Jones. For the benchmark, the familiar menu for quick opening in other widgets is available via the icon. |
The performance figures for funds are calculated in the "Full Quote" widget by default including distributions.
Further statistics
|
Field |
Description |
|---|---|
|
Ongoing charges
|
The percentage of ongoing charges of the fund. |
|
Front-end load |
The percentage front-end load of the fund. |
|
Transaction costs |
The (percentage) transaction costs of the fund. |
|
Mgmt. fee |
The (percentage) management fees of the fund. |
|
SRI |
The fund's "SRI" ("Socially Responsible Investment"). |
|
Annual high/low |
The highest and lowest price in the current year at the trading venue selected. |
|
52W High/Low |
The highest and lowest price in the last 52 weeks at the trading venue selected. |
|
All-time high/low |
The highest and lowest price price at the trading venue selected. |