Name
ISIN
  Type of yield
Currency
Investment company Repurchase p.
Date
Perf. 3M Perf. 1Y Perf. 3Y Perf. 5Y SR (1Y)
Vola. (1Y)
 
LLB Obligationen Euro Alternativ ES...
LI0006745264
reinvestment
CHF
LLB Fund Services 84.8500
2024-07-22
-0.18% +0.35% -22.08% -23.56% -0.67
4.99%
LLB Obligationen Inflation Linked E...
LI0290911572
reinvestment
CHF
LLB Fund Services 89.5000
2024-07-22
+0.67% -1.00% -18.34% -14.03% -0.93
5.05%
LLB Obligationen Inflation Linked E...
LI0028614878
reinvestment
USD
LLB Fund Services 127.1900
2024-07-22
+3.16% +1.69% -16.08% -5.39% -0.34
5.94%
LLB Obligationen Inflation Linked E...
LI0290911580
reinvestment
EUR
LLB Fund Services 94.6900
2024-07-22
+1.37% +1.08% -14.99% -9.73% -0.52
5.05%
LLB Obligationen Inflation Linked E...
LI0028614787
reinvestment
USD
LLB Fund Services 147.4200
2024-07-22
+3.37% +2.45% -14.18% -1.80% -0.21
5.93%
LLB Obligationen Global ESG Klasse ...
LI0290911465
reinvestment
CHF
LLB Fund Services 90.1500
2024-07-22
+0.95% -0.50% -13.48% -12.60% -1.00
4.18%
LLB Obligationen EUR ESG Klasse T
LI0013255687
reinvestment
EUR
LLB Fund Services 103.0000
2024-07-22
+0.81% +3.83% -12.10% -10.99% 0.05
3.39%
LLB Obligationen EUR ESG Klasse A
LI0032550647
paying dividend
EUR
LLB Fund Services 73.8400
2024-07-22
+0.82% +3.82% -12.10% -11.00% 0.04
3.4%
LLB Obligationen Inflation Linked E...
LI0290911598
reinvestment
USD
LLB Fund Services 111.6000
2024-07-22
+1.91% +2.61% -11.48% -2.85% -0.21
5.11%
Valex Global Convertibles Fund Defe...
LI0316449755
reinvestment
CHF
LLB Fund Services 101.3500
2024-07-22
+0.55% -1.17% -10.74% -1.70% -1.35
3.61%
LLB Obligationen Global ESG Klasse ...
LI0290911523
reinvestment
EUR
LLB Fund Services 95.2200
2024-07-22
+1.50% +2.05% -9.81% -8.29% -0.40
4.13%
LLB Wandelanleihen ESG Klasse H CHF
LI0290911622
reinvestment
CHF
LLB Fund Services 103.6000
2024-07-22
+4.86% +0.39% -8.68% -2.86% -0.54
6.17%
LLB Obligationen USD ESG
LI0013255679
reinvestment
USD
LLB Fund Services 248.3600
2024-07-22
+3.32% +3.18% -8.51% -1.21% -0.08
6.44%
LLB Obligationen Global ESG Klasse ...
LI0009163713
reinvestment
EUR
LLB Fund Services 82.4200
2024-07-22
+0.07% +2.37% -7.74% -7.58% -0.25
5.18%
Valex Global Convertibles Fund Defe...
LI0211146811
reinvestment
EUR
LLB Fund Services 102.6900
2024-07-22
+1.44% +1.66% -7.20% +2.75% -0.56
3.59%
LLB Obligationen Global ESG Klasse ...
LI0290911549
reinvestment
USD
LLB Fund Services 109.0000
2024-07-22
+2.01% +3.15% -6.17% -1.93% -0.12
4.27%
LLB Wandelanleihen ESG Klasse H EUR
LI0028614704
reinvestment
EUR
LLB Fund Services 128.3200
2024-07-22
+5.47% +2.63% -5.59% +1.78% -0.17
6.15%
LLB Obligationen Global ESG Klasse ...
LI0028614639
reinvestment
EUR
LLB Fund Services 96.8100
2024-07-22
+0.26% +3.18% -5.52% -3.86% -0.10
5.18%
AIM Global Credit Crawler Fund - A ...
LI0546953899
reinvestment
CHF
LLB Fund Services 98.2500
2024-07-22
+0.93% +3.18% -4.92% - -0.35
1.41%
LLB Obligationen CHF ESG Klasse A
LI0032543303
paying dividend
CHF
LLB Fund Services 127.5000
2024-07-22
+1.31% +4.93% -3.65% -4.27% 0.64
1.97%