Name
ISIN
  Type of yield
Currency
Investment company Repurchase p.
Date
Perf. 3M Perf. 1Y Perf. 3Y Perf. 5Y SR (1Y)
Vola. (1Y)
 
Prisma Sharp Portfolio Share Class ...
CH0276997043
reinvestment
USD
Credit Suisse Funds 1,318.8000
12/07/2024
+4.70% +12.74% - - 1.03
8.86%
Prisma ESG SPI II Efficient
CH0113397662
-
CHF
Credit Suisse Funds 3,158.3301
19/07/2024
+6.55% +10.02% -0.57% - 0.99
8.56%
PRISMA ESG China Equities II
CH0011362685
reinvestment
CHF
Credit Suisse Funds 2,392.1399
12/07/2024
+7.17% +1.30% -38.10% -16.76% -0.12
19.34%
Prisma ESG CHF S Bonds
CH0366578604
reinvestment
CHF
Credit Suisse Funds 975.0900
19/07/2024
+1.14% +4.60% -3.24% - 0.67
1.41%
Prisma ESG CHF Bonds I CHF
CH0366578687
reinvestment
CHF
Credit Suisse Funds 970.9900
19/07/2024
+1.12% +4.53% -3.43% - 0.62
1.41%
Prisma ESG CHF Bonds D CHF
CH0366578778
reinvestment
CHF
Credit Suisse Funds 991.9700
19/07/2024
+1.20% +4.86% -2.51% - 0.86
1.41%
OLZ Equity Switzerland Small & Mid ...
CH1183522346
reinvestment
CHF
Credit Suisse Funds 114.6900
19/07/2024
+2.46% - - - -
-
LGT (CH) Premium Strategy GIM IM CH...
CH0347662550
reinvestment
CHF
Credit Suisse Funds 1,407.5500
31/05/2024
+2.24% +8.44% +7.58% +33.90% 1.22
3.88%
LGT (CH) Premium Strategy GIM B USD
CH0347662535
reinvestment
USD
Credit Suisse Funds 1,436.2800
31/05/2024
+2.10% +10.19% +9.36% +37.75% 1.40
4.62%
LGT (CH) Premium Strategy GIM B EUR
CH0347662444
reinvestment
EUR
Credit Suisse Funds 1,292.9100
31/05/2024
+1.68% +8.25% +7.58% +29.24% 1.17
3.87%
LGT (CH) Premium Strategy GIM B CHF
CH0347661628
reinvestment
CHF
Credit Suisse Funds 1,223.8700
31/05/2024
+1.76% +6.40% +1.84% +20.94% 0.69
3.91%
LGT (CH) Cat Bond Fund CHF IA
CH0036840848
reinvestment
CHF
Credit Suisse Funds 109.7800
28/06/2024
+0.56% +5.35% +4.34% - 1.35
1.24%
LGT (CH) Cat Bond Fund A USD
CH0012115272
paying dividend
USD
Credit Suisse Funds 187.5800
28/06/2024
+1.31% +8.86% +11.97% +17.54% 4.65
1.12%
LGT (CH) Cat Bond Fund A EUR
CH0012115264
paying dividend
EUR
Credit Suisse Funds 155.1200
28/06/2024
+1.02% +7.25% +6.64% +8.35% 3.02
1.18%
LGT (CH) Cat Bond Fund A CHF
CH0012115249
paying dividend
CHF
Credit Suisse Funds 136.3000
28/06/2024
+0.36% +4.79% +2.63% +3.64% 0.89
1.25%
Equity Switzerland Small & Mid Cap ...
CH1183522353
reinvestment
CHF
Credit Suisse Funds 113.8500
19/07/2024
+2.28% +6.70% - - 0.46
7.68%
DIVAS SK Enhanced Fund Fixed Income...
CH0380362670
reinvestment
CHF
Credit Suisse Funds 86.6500
19/07/2024
+1.21% +2.05% -12.77% -12.76% -0.61
2.67%
DIVAS SK Enhanced Fund Fixed Income...
CH0380362555
reinvestment
CHF
Credit Suisse Funds 84.2700
19/07/2024
+1.21% +2.10% -12.63% -12.36% -0.59
2.68%
DIVAS SK Enhanced Fund Equities V1
CH0380362530
reinvestment
CHF
Credit Suisse Funds 144.5000
19/07/2024
+5.68% +12.54% +12.68% +40.47% 1.19
7.44%
CSA Swiss Index L
CH0018705472
reinvestment
CHF
Credit Suisse Funds 3,619.1201
19/07/2024
+8.90% +12.67% +11.46% - 0.93
9.7%