Case File
efta-01364399DOJ Data Set 10OtherEFTA01364399
Date
Unknown
Source
DOJ Data Set 10
Reference
efta-01364399
Pages
1
Persons
0
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Cash Equity Risk Premia Portfolio TV5
Historical Performance
Bloomberg:
3,000
2,500 •
2,000
Performance
Summary
20 Fob 2002 31 Oct 2016
Equity Portfolio TV5
MSCi t'ktrIti PR
-Equity Portfolio TVS
Growth Over Period
171.5%
78.7%
--MSCI World PR
Compounded Annual Growth
7.0%
4.0%
Annualised Daily Volatility
5.0%
17.2%
Information Ratio
1.41
0.23
Worst Drawdown
-8.5%
-59.1%
1,500
Calmar Ratio
0.83
0.07
Average monthly return
0.5%
0.3%
1,000
Best monthly return
4.2%
10.8%
500
Worst monthly return
-3.2%
-19.2%
96 months with gains
69%
58%
0
Correlations (Period, 5Y, 3Y, 1Y)
0.00; 0.26 ; 0.33; 0.14
02
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08
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Index). The Index has only existed since 21 October 2013. Prior to this date, the Index's historical performance has been simulated and
calculated by means of a retrospective application of the Index model. Returns shown for retrospective periods do not reflect actual historical returns. MI prospective investors fl uid be aware
that no actual investment which allowed a tracking of the performance of the Index was possible at any time prior to October 2013. Performance. actual or simulated. is not a reliable indicator of
future results.
13
CONFIDENTIAL - PURSUANT TO FED. R. GRIM. P. 6(e)
DB-SDNY-0054932
CONFIDENTIAL
SDNY_GM_00201116
EFTA01364399
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