Nome
ISIN
  Type of yield
Valuta
Società d'investimento Prezzo di riacquisto
Data
Perf. 3M Perf. 1Y Perf. 3Y Perf. 5Y SR (1a)
Vola. (1a)
 
Quantex Multi Asset Fund Klasse EUR...
LI0580516917
reinvestment
EUR
LLB Fund Services 145.4900
02/07/2024
-1.03% +7.56% +28.58% - 0.62
6.25%
Quantex Multi Asset Fund Klasse EUR...
LI0580516883
reinvestment
EUR
LLB Fund Services 141.1800
02/07/2024
-1.22% +6.75% +25.40% - 0.49
6.26%
Quantex Multi Asset Fund Klasse USD...
LI0580516925
reinvestment
USD
LLB Fund Services 124.6600
02/07/2024
-1.22% +5.88% +16.68% - 0.31
7.03%
FTC Generation Fund Klasse USD-I
LI0598650872
reinvestment
USD
LLB Fund Services 1,151.2500
25/06/2024
+1.56% +10.39% +16.49% - 1.58
4.27%
Quantex Multi Asset Fund Klasse CHF...
LI0580516909
reinvestment
CHF
LLB Fund Services 129.8900
02/07/2024
-1.73% +6.42% +13.92% - 0.39
6.92%
Quantex Multi Asset Fund Klasse USD...
LI0580516891
reinvestment
USD
LLB Fund Services 123.5600
02/07/2024
-1.40% +5.09% +13.81% - 0.20
7.03%
FTC Generation Fund Klasse EUR-I
LI0583477273
reinvestment
EUR
LLB Fund Services 1,113.7100
28/06/2024
+0.04% +7.57% +12.87% - 0.97
4.13%
FTC Generation Fund Klasse EUR-R
LI0583490342
reinvestment
EUR
LLB Fund Services 1,105.2200
25/06/2024
+1.11% +8.61% +11.72% - 1.14
4.33%
Quantex Multi Asset Fund Klasse CHF...
LI0580516875
reinvestment
CHF
LLB Fund Services 126.0500
02/07/2024
-1.91% +5.63% +11.11% - 0.28
6.93%
LLB Strategie Ausgewogen (USD)
LI0250291486
reinvestment
USD
LLB Fund Services 127.5300
02/07/2024
+1.82% +8.60% +0.91% +15.40% 0.90
5.44%
LLB Strategie Ausgewogen ESG (EUR)
LI0008127552
reinvestment
EUR
LLB Fund Services 165.2300
02/07/2024
+1.26% +7.53% -1.53% +7.64% 0.89
4.34%
LLB Inflation Protect (CHF)
LI0137592536
reinvestment
CHF
LLB Fund Services 104.5000
02/07/2024
+0.92% +4.40% -2.38% +3.72% 0.29
2.44%
LLB Strategie Rendite (USD)
LI0250285934
reinvestment
USD
LLB Fund Services 113.6600
02/07/2024
+1.17% +5.68% -4.46% +5.25% 0.43
4.65%
LLB Strategie Rendite ESG (EUR)
LI0008127503
reinvestment
EUR
LLB Fund Services 167.6300
02/07/2024
+0.65% +5.03% -5.06% +0.26% 0.37
3.58%
LLB Strategie Ausgewogen ESG (CHF)
LI0008127511
reinvestment
CHF
LLB Fund Services 127.3500
02/07/2024
+1.31% +5.90% -5.07% +2.25% 0.53
4.15%
LLB Strategie Ausgewogen ESG+ (CHF)
LI0595164158
reinvestment
CHF
LLB Fund Services 95.2800
02/07/2024
+1.23% +6.16% -6.48% - 0.60
4.09%
LLB Strategie Konservativ ESG (EUR)
LI0279550151
reinvestment
EUR
LLB Fund Services 98.8200
02/07/2024
+0.22% +3.52% -7.25% -4.08% -0.06
3.11%
LLB Strategie Rendite ESG (CHF)
LI0008127453
reinvestment
CHF
LLB Fund Services 127.6000
02/07/2024
+0.28% +3.24% -8.92% -4.95% -0.13
3.47%
LLB Strategie BPVV ESG (CHF)
LI0032619343
reinvestment
CHF
LLB Fund Services 121.2000
02/07/2024
+0.41% +3.77% -9.72% -5.94% 0.02
3.39%
LLB Strategie Rendite ESG+ (CHF)
LI0595164133
reinvestment
CHF
LLB Fund Services 90.2900
02/07/2024
+0.20% +3.29% -10.43% - -0.12
3.27%