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The Benefits of VSTOXX based Derivatives

Abs. Return Ann. Return Ann. Volatility Ann. Sharpe Ratio
EURO STOXX 50
Portfolio
Optimize return
Optimize risk
Data is current as of .

Read the documentation.


Time Period



Assets
Portfolio Structure
Ratio of Asset 1: 100%
Ratio of Asset 2: 0%
  1. 0%
  2. 20%
  3. 40%
  4. 60%
  5. 80%
  6. 100%
Ratio of Asset 3: 0%
  1. 0%
  2. 20%
  3. 40%
  4. 60%
  5. 80%
  6. 100%
Ratio of Asset 4: 0%
  1. 0%
  2. 20%
  3. 40%
  4. 60%
  5. 80%
  6. 100%
General Settings
Transaction Costs 0%
  1. 0%
  2. 0.5%
  3. 1%
  4. 1.5%
  5. 2%