BBVAGB2A.MX - Fondo BBVA Bancomer Empresas y Gobierno SA de CV S.I.I.D.

Mexico - Mexico Delayed price. Currency in MXN

Risk overview

Morningstar risk ratingN/A1
Number of years up20
Number of years down2
Best 1-yr total return (31 May 2023)7.91%
Worst 1-yr total return (31 May 2023)N/A

Risk statistics

3 years
BBVAGB2A.MXCategory average
5 years
BBVAGB2A.MXCategory average
10 years
BBVAGB2A.MXCategory average
Alpha
-0.46N/A
-0.44N/A
-0.31N/A
BETA
0.01N/A
0N/A
0.01N/A
Mean annual return
0.48N/A
0.54N/A
0.44N/A
R-squared
2.64N/A
0.61N/A
2.88N/A
Standard deviation
0.8N/A
0.67N/A
0.67N/A
Sharpe ratio
-2N/A
-2.18N/A
-1.75N/A
Treynor ratio
-44.44N/A
-100.44N/A
-34.11N/A