Real Cost of Volatility | MarkitLend
MarkitLend US Consumer Finance Fund (ML USCF)
NAV/share
Return
Volatility
Risk Adjusted
ML USCF
$16.25432
7.13%
0.61%
3.27%
S&P 500
—
14.98%
12.98%
0.76%
US Treasury 1 Yr
—
5.12%
n/a
0.00%
Home
FAQ
About us
Fernando Sanchez
Michael Sonenshine
Fund Updates
Compliance
Audits
Investors
menu
Home
FAQ
About us
Fernando Sanchez
Michael Sonenshine
Fund Updates
Compliance
Audits
Investors
April 14, 2020
Real Cost of Volatility | MarkitLend
Real Cost of Volatility | MarkitLend
←  Back to news