Multi Assets

Marex Mixed Allocation Funds 3% Risk Control Index

MRXEUMX3

The Marex Mixed Allocation Funds 3% Risk Control Index is an index which provides exposure to an equally weighted basket of mixed allocation funds while controlling the volatility of the strategy.
Graph and statistics
  • 1Y
  • 3Y
  • 5Y
  • All
Date
2025-05-07
Last Value
1150.6
Annualised Return
1.94%
Annualised Volatility
3.32%
1 Day Return
-0.08%
MTD Return
0.18%
QTD Return
0.21%
YTD Return
1.03%
Since Inception
15.06%
Index Specifications
Compass Code

MRXEUMX3

Asset Class

Multi Assets

Bloomberg Ticker

MRXEUMX3 Index

Sub Asset Class

Mutual Funds

Refinitiv RIC

.MRXEUMX3

Strategy

Volatility

ISIN

FR001400OD37

Calculation Frequency

Daily

Currency

EUR

Inception Date

2018-01-22

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