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Past Performance
| Return (275 days) |
4.02%
|
Annualized Return |
5.37%
|
Max Drawdown |
-15.13% |
| High |
16.73% |
Volatility |
24% |
Max Cost of Capital |
774 |
| Low |
-0.93% |
Sharpe Ratio |
0.06 |
Max Equity |
716 |