The 3F Bonds fund (FR0010107706) signed the NAV on 23rd Jun at 1294.64 EUR with a daily change of 0.16%.

The Fund's five-year performance is mostly value.

AI sold the Fund at 1307.76 on 14th Jun losing -2.57%.
The Fund is at the main cycle low at 6 o'clock from 20th May.

The AI system, in the 3114 market days analysed, identified 8 operations for the Fund. The average change in positive trades (9.37%) was higher than negative trades (-2.29%) at a ratio of 4.1 to 1 and the overall average change is 6.46%
Updated at 24th Jun - 19:45:19

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YearYearlyJanFebMarAprMayJunJulAugSepOctNovDec
2022-4.73%-1.05%-1.18%-2.57%                        
20213.02%0.22%0.91%0.27%0.21%0.29%0.23%0.08%0.35%0.08%-0.34%-0.16%0.86%
202017.30%-0.39%-0.35%6.76%3.16%2.60%0.40%0.80%-0.95%0.19%3.31%0.79%
20193.75%0.78%0.82%0.32%0.40%-0.16%0.49%0.38%0.21%0.20%-0.42%0.45%0.22%
2018-2.57%-0.48%-0.28%-0.09%-1.21%0.09%0.61%0.39%0.02%-0.46%-0.98%-0.19%
20173.62%0.28%0.40%0.06%0.73%0.85%0.16%0.34%0.18%0.38%0.76%-0.22%-0.35%
20164.60%-1.30%0.45%1.93%0.62%0.03%-0.22%1.52%0.76%-0.06%0.23%-0.51%1.10%
2015-2.24%1.04%1.24%-0.15%0.61%-0.30%-1.36%0.25%-1.01%-1.82%0.05%-0.76%
20141.29%0.09%1.29%0.36%0.83%0.59%0.91%-0.39%0.22%-1.72%-1.21%0.35%-0.02%
20136.54%-0.06%0.16%0.95%1.55%0.08%-2.06%1.70%0.33%1.15%1.35%0.58%0.67%
201211.43%2.34%2.43%0.47%-0.55%-0.31%0.68%0.86%1.01%0.10%1.00%1.29%1.62%
20111.08%0.90%0.81%-0.53%0.71%0.35%-0.75%-0.22%-2.35%3.24%-2.74%1.79%
20107.43%-0.41%-0.01%2.58%0.64%-1.54%0.67%1.83%0.86%1.09%0.90%-0.44%1.08%
YearYearlyJanFebMarAprMayJunJulAugSepOctNovDec
2022-9.76%-1.05%-1.82%0.38%-2.34%-1.74%-3.56%                        
20213.02%0.22%0.91%0.27%0.21%0.29%0.23%0.08%0.35%0.08%-0.34%-0.16%0.86%
2020-0.86%-0.39%-1.20%-15.53%7.74%3.16%2.60%0.40%0.80%-0.95%0.19%3.31%0.79%
20193.75%0.78%0.82%0.32%0.40%-0.16%0.49%0.38%0.21%0.20%-0.42%0.45%0.22%
2018-3.53%-0.48%-0.28%-0.09%-1.21%0.09%0.61%0.39%0.02%-0.46%-1.34%-0.80%
20173.62%0.28%0.40%0.06%0.73%0.85%0.16%0.34%0.18%0.38%0.76%-0.22%-0.35%
20164.17%-1.15%-0.11%1.93%0.62%0.03%-0.22%1.52%0.76%-0.06%0.23%-0.51%1.10%
20150.72%1.04%1.24%-0.15%0.61%-0.30%-1.36%0.25%-1.01%-1.82%2.29%0.77%-0.76%
20141.29%0.09%1.29%0.36%0.83%0.59%0.91%-0.39%0.22%-1.72%-1.21%0.35%-0.02%
20136.54%-0.06%0.16%0.95%1.55%0.08%-2.06%1.70%0.33%1.15%1.35%0.58%0.67%
201211.43%2.34%2.43%0.47%-0.55%-0.31%0.68%0.86%1.01%0.10%1.00%1.29%1.62%
2011-1.39%0.90%0.81%-0.53%0.71%0.35%-0.75%-0.22%-3.70%-1.05%3.22%-2.74%1.79%
20107.27%1.26%-0.01%2.58%0.64%-3.41%0.78%1.83%0.86%1.09%0.90%-0.44%1.08%
YearYearlyJanFebMarAprMayJunJulAugSepOctNovDec
20225.03%    0.64%    2.34%1.74%0.99%                        
2021                                                    
202018.16%    0.85%15.53%                                    
2019                                                    
20180.96%                                        0.36%0.61%
2017                                                    
20160.43%    0.56%                                        
2015                                                    
2014                                                    
2013                                                    
2012                                                    
20112.47%                            1.35%1.05%0.02%        
20100.16%                1.87%                            


Signals
DateSignalPriceProfitDays
14.06.2022Sold1307.76-2.57%13
01.06.2022Bought1342.27
09.02.2022Sold1402.8419.05%679
01.04.2020Bought1178.41
26.02.2020Sold1394.282.80%435
18.12.2018Bought1356.36
29.11.2018Sold1369.827.19%1014
19.02.2016Bought1277.89
20.01.2016Sold1283.14-2.01%58
23.11.2015Bought1309.39
30.09.2015Sold1270.9421.02%1448
13.10.2011Bought1050.17
11.08.2011Sold1076.394.95%436
01.06.2010Bought1025.65
12.05.2010Sold1044.381.22%121
11.01.2010Bought1031.79