Name
ISIN
  Type of yield
Currency
Investment company Repurchase p.
Date
Perf. 3M Perf. 1Y Perf. 3Y Perf. 5Y SR (1Y)
Vola. (1Y)
 
SGKB (CH) FUND - STRATEGIE AUSGEWOG...
CH1215602769
reinvestment
CHF
1741 Fund Solutions 117.5200
2024-11-05
+4.43% +11.86% - - 1.41
6.27%
SGKB (CH) FUND - STRATEGIE AUSGEWOG...
CH1123158961
paying dividend
CHF
1741 Fund Solutions 99.2200
2024-11-05
+4.20% +10.92% -1.27% - 1.26
6.28%
SGKB (CH) FUND - STRATEGIE AUSGEWOG...
CH1123159233
reinvestment
CHF
1741 Fund Solutions 104.6100
2024-11-05
+4.51% +11.48% +3.37% - 1.55
5.44%
SGKB (CH) FUND - STRATEGIE AUSGEWOG...
CH0020306186
paying dividend
CHF
1741 Fund Solutions 133.6600
2024-11-05
+4.28% +10.54% +0.41% +10.01% 1.37
5.45%
SGKB (CH) FUND - FINREON TAIL RISK ...
CH0210244312
paying dividend
CHF
1741 Fund Solutions 130.8300
2024-11-05
+2.68% +11.14% -2.32% +10.69% 0.74
10.92%
SGKB (CH) FUND - FINREON TAIL RISK ...
CH0210244296
paying dividend
CHF
1741 Fund Solutions 130.6900
2024-11-05
+2.45% +11.08% -3.96% +7.08% 0.75
10.76%
SGKB (CH) FUND - FINREON TAIL RISK ...
CH0210244270
paying dividend
CHF
1741 Fund Solutions 117.6400
2024-11-05
+2.22% +10.13% -6.49% +2.41% 0.66
10.75%
Kaiseregg Fund CHF
CH1136199457
reinvestment
CHF
1741 Fund Solutions 99.1000
2024-11-05
+3.46% +10.79% -2.04% - 2.09
3.71%
IFS BVG Balanced Fund - Klasse X
CH1186026220
reinvestment
CHF
1741 Fund Solutions 98.9800
2024-11-05
- - - - -
-
IFS BVG Balanced Fund - Klasse QPV
CH0524731483
reinvestment
CHF
1741 Fund Solutions 108.1700
2024-11-05
+1.92% +10.27% - - 1.56
4.62%
IFS BVG Balanced Fund - Klasse QIV
CH0524731475
reinvestment
CHF
1741 Fund Solutions 108.7000
2024-11-05
+1.97% +10.49% - - 1.61
4.63%
IFS BVG Balanced Fund - Klasse Q
CH0524731350
reinvestment
CHF
1741 Fund Solutions 114.5400
2024-11-05
+1.91% +10.16% - - 1.53
4.63%
IFS BVG Balanced Fund - Klasse P
CH0524731319
reinvestment
CHF
1741 Fund Solutions 115.4100
2024-11-05
+1.97% +10.32% - - 1.57
4.64%
IFS BVG Balanced Fund - Klasse IV
CH0524731301
reinvestment
CHF
1741 Fund Solutions 109.5500
2024-11-05
+2.02% +10.76% - - 1.67
4.63%
IFS BVG Balanced Fund - Klasse I
CH0524731269
reinvestment
CHF
1741 Fund Solutions 116.4000
2024-11-05
+2.02% +10.47% -3.15% - 1.60
4.64%
EQUINOX Mixed - Klasse EUR
CH0270982215
reinvestment
EUR
1741 Fund Solutions 110.8100
2024-11-05
+3.32% +9.79% +6.73% +9.27% 1.73
3.9%
EQUINOX Mixed - Klasse CHF I BVG
CH0297835297
reinvestment
CHF
1741 Fund Solutions 110.1600
2024-11-05
+3.43% +8.33% -0.31% - 1.23
4.29%
EQUINOX Mixed - Klasse CHF I (hedge...
CH0270982249
reinvestment
CHF
1741 Fund Solutions 102.1900
2024-11-05
+3.36% +8.26% -0.29% - 1.22
4.28%
EQUINOX Mixed - Klasse CHF (hedged)
CH0270982223
reinvestment
CHF
1741 Fund Solutions 98.6900
2024-11-05
+3.19% +7.91% -1.10% - 1.14
4.24%
Clientis Fonds (CH) - Income - Klas...
CH0220715111
paying dividend
CHF
1741 Fund Solutions 10.8300
2024-11-05
+3.74% +8.84% - - 0.90
6.42%