FLEXPATH INDEX MODERATE 2065 FUND FEE CLASS R1
Publish date: 2024-07-14
Alpha 1 Year | -3.88 |
Average Gain 1 Year | 4.19 |
Average Loss 1 Year | -4.30 |
Batting Average 1 Year | 58.33 |
Beta 1 Year | 1.16 |
Capture Ratio Down 1 Year | 128.90 |
Capture Ratio Up 1 Year | 107.47 |
Correlation 1 Year | 96.65 |
High 1 Year | 15.04 |
Information Ratio 1 Year | -0.33 |
Low 1 Year | 12.06 |
Maximum Loss 1 Year | -12.92 |
R-Squared (R²) 1 Year | 93.42 |
Sharpe Ratio 1 Year | 0.94 |
Sortino Ratio 1 Year | 1.76 |
Tracking Error 1 Year | 5.27 |
Trailing Return 1 Month | 1.51 |
Trailing Return 1 Year | 16.49 |
Trailing Return 2 Months | 4.75 |
Trailing Return 2 Years | 16.00 |
Trailing Return 3 Months | 0.92 |
Trailing Return 6 Months | 9.18 |
Trailing Return 9 Months | 22.92 |
Trailing Return Since Inception | 5.31 |
Trailing Return YTD - Year to Date | 9.18 |
Treynor Ratio 1 Year | 15.14 |
Volatility 1 Year | 17.19 |
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