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)
 
Aktien Schweiz 100 equal weight ESG...
CH0364735198
reinvestment
CHF
1741 Fund Solutions 122.4600
27/08/2024
-2.39% +4.11% -13.59% +32.52% 0.05
11.52%
Aktien Schweiz 100 equal weight ESG...
CH0364735180
reinvestment
CHF
1741 Fund Solutions 120.0500
27/08/2024
-2.47% +3.88% -14.39% +30.39% 0.03
11.52%
ARVEA Global ex Switzerland Equitie...
CH1296082949
reinvestment
USD
1741 Fund Solutions 111.8100
27/08/2024
+0.27% - - - -
-
ARVEA Swiss Equities Fund - S
CH1296082907
reinvestment
CHF
1741 Fund Solutions 120.4100
27/08/2024
+0.74% - - - -
-
Clientis Fonds (CH)-Growth A
CH1199883625
paying dividend
CHF
1741 Fund Solutions 110.3300
27/08/2024
-1.46% +7.27% - - -
7.96%
Clientis Fonds (CH)-Growth I
CH1199883617
paying dividend
CHF
1741 Fund Solutions 11.1300
27/08/2024
-1.33% +7.74% - - -
8.05%
Ebfinanz AktienWELT A
CH1245782441
reinvestment
CHF
1741 Fund Solutions 177.4500
26/08/2024
+1.45% - - - -
-
Ebfinanz AktienWELT R
CH1323936224
reinvestment
CHF
1741 Fund Solutions 103.7300
26/08/2024
+1.12% - - - -
-
EQUINOX Aktien Schweiz FLEX I
CH1245516211
paying dividend
CHF
1741 Fund Solutions 110.4200
27/08/2024
+2.35% +9.51% - - -
9.55%
FAM Swiss Long Only Fund I
CH1102717068
reinvestment
CHF
1741 Fund Solutions 1,117.4399
27/08/2024
+0.40% +14.46% -1.93% - 0.89
12.29%
Industry Leader Fund B
CH1183737530
reinvestment
CHF
1741 Fund Solutions 5,477.9399
27/08/2024
-2.20% +8.35% - - -
12.39%
Oyat Investment Fund A
CH1225085625
reinvestment
CHF
1741 Fund Solutions 112.8500
27/08/2024
+1.06% +13.39% - - -
10.02%
Oyat Investment Fund B
CH1225085633
paying dividend
CHF
1741 Fund Solutions 112.2200
27/08/2024
+1.06% +12.76% - - -
10.02%
Premium Global Brands - I (unhedged...
CH0427636813
paying dividend
CHF
1741 Fund Solutions 89.7900
27/08/2024
-9.68% -4.21% -23.00% -5.69% -0.51
15.05%
Prosperis Aktiensignal CHF
CH1135999964
reinvestment
CHF
1741 Fund Solutions 102.2900
27/08/2024
-7.18% +8.19% +2.29% - -
10.12%
Quantex Fd.Nebenwerte Schw.I
CH0230499482
reinvestment
CHF
1741 Fund Solutions 238.8500
27/08/2024
-0.33% +5.35% -2.54% +26.81% 0.24
7.79%
Quantex Fd.Nebenwerte Schw.R
CH0043431425
reinvestment
CHF
1741 Fund Solutions 218.8800
27/08/2024
-0.57% +4.47% -5.18% +21.14% 0.12
7.8%
Responsible Global Brands G
CH1158315759
reinvestment
CHF
1741 Fund Solutions 113.1800
27/08/2024
-1.53% +14.21% - - -
12.53%
Responsible Global Brands I
CH1158315767
reinvestment
CHF
1741 Fund Solutions 1,126.8199
27/08/2024
-1.58% +14.05% - - -
12.53%
RP Europa Large Cap Fd.A CHF
CH1149747656
reinvestment
CHF
1741 Fund Solutions 10.4300
27/08/2024
-3.96% +9.56% - - 0.50
12.11%