Date NAV
12/2023 1.121,092
09/2023 2.791,095
06/2023 3.171,637
03/2023 3.171,754
12/2022 3.274,021
09/2022 4.726,451
06/2022 5.190,058
03/2022 6.233,960
12/2021 6.257,831
09/2021 7.261,568
06/2021 7.193,212
03/2021 11.575,705
12/2020 11.697,676
09/2020 17.096,445
06/2020 21.707,000
03/2020 23.340,681
12/2019 24.856,327
09/2019 27.125,589
06/2019 29.494,281
03/2019 31.788,221
12/2018 34.765,182
09/2018 37.736,450
06/2018 37.613,297
03/2018 42.529,213
12/2017 50.564,021
09/2017 57.043,675
06/2017 56.474,943
03/2017 66.190,487
12/2016 66.869,375
09/2016 78.554,416
06/2016 77.209,414
03/2016 83.345,728
12/2015 84.164,744
09/2015 86.637,379
06/2015 101.607,526
03/2015 105.501,638
12/2014 103.409,382
09/2014 100.688,490
06/2014 99.237,341
03/2014 100.598,360
12/2013 93.784,046
09/2013 89.751,620
06/2013 90.651,230
03/2013 79.205,851
12/2012 77.912,437
09/2012 62.820,719
06/2012 61.755,850
12/2011 51.248,880
06/2011 32.209,020
12/2010 31.412,988


Past performance does not constitute a guarantee on the future performance of the fund and should not be used as the sole evaluation criterion for choosing an investment. Pursuant to current legislation, the above data does not constitute a solicitation for investment and may not be reproduced or distributed to third parties nor may the contents be disclosed. Hedge Invest SGR will not be in any way responsible for any damage, direct or indirect cost that may arise from failure to comply with this prohibition.