Bridgeway Managed Volatility Fund

Quarterly Returns (%)
Years Q1 Q2 Q3 Q4 Annual
2001 0 0 -7.7 5.54 0
2002 3.19 -1.5 -4.21 -0.11 -4.12
2003 -0.43 8.3 2.59 5.92 17.17
2004 3.11 0.36 -0.8 3.21 5.95
2005 0.78 2.4 2.76 -0.9 5.1
2006 2.88 1.12 0.4 2.37 6.66
2007 1.28 1.81 0.23 1.49 6.59
2008 -6.14 1.62 -6.92 -9 -19.21
2009 -4 8.87 3.83 3.57 12.39
2010 1.29 -6.66 6.16 5.03 5.41
2011 3.36 -0.86 -8.71 8.98 1.94
2012 4.19 -0.5 2.6 -0.57 6.46
2013 3.95 1.27 1.02 2.74 9.25
2014 2.72 2.5 -0.57 1.21 5.95
2015 1.57 -1.26 -3.2 3.19 0.17
2016 0.64 0.57 1.13 0.06 2.42
2017 2.45 0.89 1.89 2.45 8.18
2018 0.45 3.41 1.08 -7.5 -3.95
2019 6.41 1.14 0.6 1.05 10.73
2020 -6.12 7.83 -1.6 5.94 5.53
2021 0.48 5.1 -1.04 2.18 6.78
2022 -3.41 -6.4 0.89 -1.96 -10.57
2023 3.1 3.32 -0.24 -1.03 5.1
2024 3.07 -0.78 0 0 -33.35