INDEX PERFORMANCE
The charts and tables below show the levels of the Patriot Technologies Index.
The performance shown is hypothetically simulated until 19th January 2025.
For more information, please consult our INDX related page.
Index overview & statistics – Hypothetical & Historical exposure as of .
Bloomberg Ticker | BNPIPAT5 Index |
Calculation Agent | BNP Paribas Financial Markets |
Index Sponsor | BNP Paribas |
Hypothetical Performance Start Date |
2nd January 2013 |
Index Launch Date | 20th January 2025 |
Index Type | Excess return1 |
Underlying Index2 Rebalancing | Quarterly |
Volatility Control Mechanism Frequency | Daily rebalancing |
1The BNP Paribas US Patriot Technologies RC5 AR Index “Excess Return Index” meaning its returns are derived from changes in the level of its components (known as “price return”) and profit or loss gained from rolling from one futures contract to another (known as “roll return”). Unlike Total Return Indices, it does not derive returns based on interest earned on cash or other collateral deposited in connection with the purchase of futures contracts (known as “collateral return”). 2Solactive Whitney U.S. Patriot Technology Index TR.
YTD | 1 Year | 3 Years | 5 Years | 10 Years | Global | |
Annualised Return | ||||||
Annualised Volatility | ||||||
Annualised Return/ Annualised Volatility |
Source: Bloomberg, BNP Paribas from 2nd January 2013 to .. All numbers and figures are annualised (except for year-to-date).
Index Performance – Hypothetical & Historical exposure as of .
Hypothetical past performance is based on criteria applied retroactively with the benefit of hindsight and knowledge of factors that may have positively affected its performance, and cannot account for all financial risk that may affect the actual performance of the Index.
Hypothetical past performance might not reflect all possible market conditions. The Index may perform differently under other market conditions.
Annual Index Returns – As of .
2025 | |
Annual Return |
Source: Bloomberg, BNP Paribas from 2nd January 2013 to .. All numbers and figures are annualised (except for current year).
SELECTED RISKS AND CONSIDERATIONS
This discussion is not and should not be construed to be investment advice or an offer to sell or purchase or solicitation of an offer to sell or purchase any security or other instrument.
This document describes strategies that may or may not be suitable or appropriate for particular investors and any investor is urged to consult with its investment, tax, accounting and other advisers prior to investing. Neither BNP Paribas nor any of its affiliates make any recommendation as to the suitability of any strategy or index for investment.
- The methodology underlying the Index may not be successful — No assurance can be given that the strategy or objectives of the Index will be achieved.
- Numerous factors (including, but not limited to, changes in: interest rates, investor expectations, economic results, regulations, liquidity) may affect the components of the Index and the performance of the Index.
- The Index involves synthetic execution and may not reflect actual market activity.
- The Index may contain embedded fees, which will reduce performance. Fees are determined based on certain assumptions and may not reflect actual market activity. The amount of fees deducted may vary under different market conditions.
- The methodology and rules related to the Index is subject to change.
- The Index has limited historical information and publicly available information on the Index is limited. Additional information available upon request.
- Volatility control mechanism may limit performance.
- Rebalancing may result in concentration risk and/or be partially or completely uninvested and may not achieve performance.
- The use of leverage will have increased exposure to the index components.
Selected Risk Considerations related to the Hypothetical Performance:
Future performance may be worse than past and hypothetical historical results. Certain levels are simulated and must be considered hypothetical and illustrative only. Actual performance may bear little relation to the hypothetical historical results.
Hypothetical past performance is based on criteria applied retroactively with the benefit of hindsight and knowledge of factors that may have positively affected its performance, and cannot account for all financial risk that may affect the actual performance of the Index.
Hypothetical past performance might not reflect all possible market conditions. The Index may perform differently under other market conditions.
Little information is available publicly about the Index. Additional information regarding the methodology and rules related to the Index are available upon request.
Please also consult the “Risks and Considerations” section of this website. These risk considerations contained on this website may not be exhaustive. Any potential user of the Index should consult with financial and other advisors as it deems appropriate. The information provided on this website should not be construed as legal, financial, tax, accounting or other advice. BNP Paribas shall have no liability for any loss arising from or related to any use of the Index.