Nombre
ISIN
  Tipo de beneficio
Divisa
Sociedad de fondos Prec. de rescate
Fecha
Rendimiento 3 meses Rendimiento 1 año Rendimiento 3 años Rendimiento 5 años SR (1A)
Volatilidad (1A)
 
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
+7.65% +12.06% +1.04% - 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
+0.73% +4.60% -3.20% - 0.67
1.41%
Prisma ESG CHF Bonds I CHF
CH0366578687
reinvestment
CHF
Credit Suisse Funds 970.9900
19/07/2024
+0.72% +4.53% -3.40% - 0.62
1.41%
Prisma ESG CHF Bonds D CHF
CH0366578778
reinvestment
CHF
Credit Suisse Funds 991.9700
19/07/2024
+0.80% +4.87% -2.47% - 0.86
1.41%
OLZ Equity Switzerland Small & Mid ...
CH1183522346
reinvestment
CHF
Credit Suisse Funds 114.6900
19/07/2024
+3.06% - - - -
-
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
+2.87% +7.24% - - 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
+10.24% +13.53% +12.15% - 0.93
9.7%