OP Premium 50

Basic data, performance and fact figures

Basic data

Fund manager
OP Asset Management Ltd
Start date
01.04.2011
ISIN / Code
XZ0000000240
Annual management fee
1,15 %
Serie value (17.12.)
195,75 EUR
Sustainability data
Download

Accumulated profit

1mth 3mth 6mth 1 y 3 y p.a. 5 y p.a.
OP Premium 50 −0,11 % +2,03 % +5,46 % +2,30 % +7,96 % +4,62 %

Yearly performance

2020 2021 2022 2023 2024 YTD
OP Premium 50 +4,07 % +12,20 % −12,69 % +9,99 % +11,15 % +3,41 %

Key figures

Volatility 12 m vola 12m Sharpe 12 m
OP Premium 50 7,12 % -