Fund class | Asset Class | Unit currency | NAV excl. comm. | YTD in % | ISIN |
---|---|---|---|---|---|
AIB COSA Equity Fund - T CHF | Aktien | CHF | 974.59 | 1.33 | CH1116362984 |
AIB COSA Equity Fund - T EUR | Aktien | EUR | 1'085.13 | 1.58 | CH1116362992 |
Fund class | Asset Class | Unit currency | NAV excl. comm. | YTD in % | ISIN |
---|---|---|---|---|---|
US Next Technology Fund - A | Aktien | USD | 260.73 | 12.18 | CH1345003367 |
US Next Technology Fund - G | Aktien | USD | 397.81 | 11.91 | CH1345003359 |
Fund class | Asset Class | Unit currency | NAV excl. comm. | YTD in % | ISIN |
---|---|---|---|---|---|
Alpinum Funds (CH) - Liquidity Fund USD IA | Short Term & Bonds | USD | 1'176.61 | 2.74 | CH0321639772 |
Alpinum Funds (CH) - Liquidity Fund USD IB | Short Term & Bonds | USD | 1'124.35 | 2.71 | CH0321639780 |
Fund class | Asset Class | Unit currency | NAV excl. comm. | YTD in % | ISIN |
---|---|---|---|---|---|
Arvernus Capital (CH) Europe Event Driven A CHF | Alternative Fonds | CHF | 128.19 | 7.71 | CH0239350918 |
Arvernus Capital (CH) Europe Event Driven A EUR | Alternative Fonds | EUR | 151.77 | 8.45 | CH0117633377 |
Arvernus Capital (CH) Europe Event Driven A USD | Alternative Fonds | USD | 165.93 | 10.34 | CH0239350975 |
Arvernus Capital (CH) Europe Event Driven IA EUR | Alternative Fonds | EUR | 15'178.95 | 8.95 | CH0117634888 |
Fund class | Asset Class | Unit currency | NAV excl. comm. | YTD in % | ISIN |
---|---|---|---|---|---|
Alpora Innovation Europa Fonds - CHF hedged | Aktien | CHF | 2'593.66 | -1.24 | CH0302271066 |
Alpora Innovation Europa Fonds - CHF-hedged R | Aktien | CHF | 0.00 | -100.00 | CH1135984875 |
Alpora Innovation Europa Fonds - EUR A | Aktien | EUR | 2'542.83 | 0.51 | CH0248877885 |
Alpora Innovation Europa Fonds - EUR B | Aktien | EUR | 2'462.49 | 0.26 | CH0436491234 |
Alpora Innovation Europa Fonds - EUR D | Aktien | EUR | 2'549.65 | 0.51 | CH0494981860 |
Alpora Innovation Europa Fonds - EUR E | Aktien | EUR | 127.60 | 0.12 | CH0542826950 |
Alpora Innovation Europa Fonds - EUR F | Aktien | EUR | 96.55 | 1.08 | CH1252928630 |
Alpora Innovation Europa Fonds - USD-hedged R | Aktien | USD | 0.00 | -100.00 | CH1135984883 |
AMG Europa, Klasse A | Aktien | EUR | 16.35 | 1.91 | CH0027940730 |
AMG Europa, Klasse B | Aktien | EUR | 15.71 | 1.84 | CH0048476664 |
AMG Europa, Klasse C (CHF hedged) | Aktien | CHF | 16.63 | 0.57 | CH0297417534 |
AWEA Goldminen - A | Aktien | CHF | 180.23 | 65.68 | CH0024686773 |
AWEA Goldminen - C | Aktien | CHF | 191.70 | 65.98 | CH0197484386 |
AWEA Goldminen - H | Aktien | CHF | 190.23 | 77.74 | CH0420487941 |
AWEA Goldminen - U | Aktien | USD | 206.44 | 79.18 | CH1135984792 |
AWEA Substanzwerte Schweiz - A (CHF) | Aktien | CHF | 1'666.25 | 17.53 | CH0019597530 |
Fund class | Asset Class | Unit currency | NAV excl. comm. | YTD in % | ISIN |
---|---|---|---|---|---|
B1 Swiss Equity Fund ESG - I | Aktien | CHF | 114.13 | 12.23 | CH1255052552 |
B1 Swiss Equity Fund ESG - M | Aktien | CHF | 115.80 | 12.92 | CH1255312824 |
Fund class | Asset Class | Unit currency | NAV excl. comm. | YTD in % | ISIN |
---|---|---|---|---|---|
BKB Physical Gold Fairtrade Max Havelaar - A CHF | Alternative Fonds | CHF | 164.68 | 13.97 | CH1185050486 |
BKB Physical Gold Fairtrade Max Havelaar - I CHF | Alternative Fonds | CHF | 148.42 | 14.00 | CH1185050494 |
BKB Physical Gold Fairtrade Max Havelaar - I CHF H | Alternative Fonds | CHF | 154.49 | 24.38 | CH1185050502 |
Fund class | Asset Class | Unit currency | NAV excl. comm. | YTD in % | ISIN |
---|---|---|---|---|---|
GLKB ESG Ausgewogen - R Klasse | Strategiefonds | CHF | 111.59 | 3.33 | CH1293267998 |
GLKB ESG Ausgewogen - Vorsorge Klasse | Strategiefonds | CHF | 111.63 | 3.33 | CH1293270364 |
GLKB ESG Einkommen - R Klasse | Strategiefonds | CHF | 107.95 | 2.16 | CH1293267626 |
GLKB ESG Einkommen - Vorsorge Klasse | Strategiefonds | CHF | 107.92 | 2.16 | CH1293267964 |
GLKB ESG Kapitalgewinn - R Klasse | Strategiefonds | CHF | 114.57 | 4.76 | CH1293270398 |
GLKB ESG Kapitalgewinn - Vorsorge Klasse | Strategiefonds | CHF | 114.57 | 4.76 | CH1293270406 |
GLKB ESG Wachstum - R Klasse | Strategiefonds | CHF | 114.77 | 4.35 | CH1293270372 |
GLKB ESG Wachstum - Vorsorge Klasse | Strategiefonds | CHF | 114.75 | 4.35 | CH1293270380 |
Fund class | Asset Class | Unit currency | NAV excl. comm. | YTD in % | ISIN |
---|---|---|---|---|---|
OTC-X Fund - It | Aktien | CHF | 149.41 | 10.41 | CH0288833921 |
OTC-X Fund - Nt | Aktien | CHF | 116.68 | 11.43 | CH0491296668 |
Fund class | Asset Class | Unit currency | NAV excl. comm. | YTD in % | ISIN |
---|---|---|---|---|---|
Helvetia 1291 Fund - T (CHF) | Aktien | CHF | 125.63 | 11.18 | CH1197967370 |
Fund class | Asset Class | Unit currency | NAV excl. comm. | YTD in % | ISIN |
---|---|---|---|---|---|
Chartvalor SmartAlpha - CHF | Strategiefonds | CHF | 485.49 | 3.20 | CH0025037315 |
Chartvalor SmartAlpha - CHF B | Strategiefonds | CHF | 563.56 | 3.66 | CH0236233851 |
Chartvalor SmartAlpha - EUR B | Strategiefonds | EUR | 517.65 | 4.37 | CH0236233877 |
Fund class | Asset Class | Unit currency | NAV excl. comm. | YTD in % | ISIN |
---|---|---|---|---|---|
Enpa Opportunity Fund - A (CHF) | Aktien | CHF | 126.95 | -4.30 | CH0429273664 |
Enpa Opportunity Fund - EUR | Aktien | EUR | 128.18 | -3.64 | CH0504536050 |
Enpa Opportunity Fund - S (CHF) | Aktien | CHF | 129.78 | -4.08 | CH0429273672 |
Enpa Opportunity Fund - USD | Aktien | USD | 152.65 | 7.38 | CH0504536068 |
EnPa Strategiefonds Libra - CHF | Strategiefonds | CHF | 123.37 | 0.79 | CH0450943482 |
EnPa Strategiefonds Nova - CHF | Strategiefonds | CHF | 127.01 | 2.83 | CH0450943516 |
EnPa Swiss Top Picks Fund A | Aktien | CHF | 211.61 | 20.02 | CH0368153547 |
EnPa Swiss Top Picks Fund S | Aktien | CHF | 222.37 | 20.54 | CH0368153562 |
Tavau Swiss Fund CHF Klasse | Alternative Fonds | CHF | 311.19 | 13.94 | CH0105325903 |
Tavau Swiss Fund EUR hedged Klasse | Alternative Fonds | EUR | 208.49 | 15.11 | CH0298523249 |
Fund class | Asset Class | Unit currency | NAV excl. comm. | YTD in % | ISIN |
---|---|---|---|---|---|
FERI Sustainable Quality - A (EUR) | Aktien | EUR | 169.92 | 6.61 | CH0475047939 |
FERI Sustainable Quality - I (CHF) | Aktien | CHF | 156.04 | 5.83 | CH0361013110 |
FERI Sustainable Quality - P (CHF) | Aktien | CHF | 128.84 | 5.36 | CH0361013086 |
FERI Sustainable Quality - X (EUR) | Aktien | EUR | 184.05 | 7.06 | CH0427633752 |
FS Symphonie Ausgewogen - A CHF | Strategiefonds | CHF | 107.53 | 2.53 | CH0231321107 |
FS Symphonie Ausgewogen - A CHF hedged | Strategiefonds | CHF | 105.36 | 3.34 | CH0356045689 |
FS Symphonie Piano 25 - A CHF | Strategiefonds | CHF | 104.35 | 0.13 | CH0231321156 |
FS Symphonie Piano 25 - T CHF | Strategiefonds | CHF | 110.67 | 0.12 | CH0331565215 |
Fund class | Asset Class | Unit currency | NAV excl. comm. | YTD in % | ISIN |
---|---|---|---|---|---|
Finanzlab Multi Index Fund - I CHF | Aktien | CHF | 121.90 | 3.47 | CH0582155336 |
Fund class | Asset Class | Unit currency | NAV excl. comm. | YTD in % | ISIN |
---|---|---|---|---|---|
FBG CHF Managed ESG | Strategiefonds | CHF | 68.02 | 1.49 | CH0004311780 |
FBG Ertragsorientiert Konservativ ESG - Klasse 1 | Strategiefonds | EUR | 71.54 | 2.65 | CH0023685255 |
FBG Ertragsorientiert Realwirtschaft ESG -Klasse 1 | Strategiefonds | EUR | 112.11 | 1.59 | CH1183776074 |
FBG Ertragsorientiert Realwirtschaft ESG -Klasse 2 | Strategiefonds | EUR | 113.03 | 1.92 | CH1183776082 |
FBG Euro Bond ESG | Short Term & Bonds | EUR | 31.92 | 2.18 | CH0004311970 |
FBG Europe Equity ESG | Aktien | EUR | 46.84 | 5.58 | CH0008249739 |
FBG Global Balanced Strategy ESG, Klasse 1 | Strategiefonds | EUR | 48.45 | -3.58 | CH0036321856 |
FBG Global Return Strategy ESG, Klasse 1 | Strategiefonds | EUR | 43.80 | 0.15 | CH0036321831 |
FBG Global Return Strategy ESG, Klasse 2 | Strategiefonds | EUR | 46.40 | 0.67 | CH0105485301 |
FBG US Dollar Bond ESG | Short Term & Bonds | USD | 43.29 | 5.67 | CH0023685271 |
Fund class | Asset Class | Unit currency | NAV excl. comm. | YTD in % | ISIN |
---|---|---|---|---|---|
Barron Equity Fund - A | Aktien | CHF | 98.25 | -1.44 | CH1113531276 |
Barron Total Return Fund - A | Strategiefonds | CHF | 96.81 | 1.29 | CH1113531375 |
Pentafolio Aktien Schweiz Fonds - P-CHF | Aktien | CHF | 107.84 | 7.84 | CH1435340703 |
Pentafolio Aktien Schweiz Fonds - V-CHF | Aktien | CHF | 1'079.25 | 7.92 | CH1435340711 |
Fund class | Asset Class | Unit currency | NAV excl. comm. | YTD in % | ISIN |
---|---|---|---|---|---|
Aktien Schweiz Helvetic Trust Quality Fund - HT | Aktien | CHF | 104.94 | 6.05 | CH1400407495 |
Aktien Schweiz Helvetic Trust Quality Fund - N | Aktien | CHF | 1'055.91 | 6.67 | CH1400407529 |
Fund class | Asset Class | Unit currency | NAV excl. comm. | YTD in % | ISIN |
---|---|---|---|---|---|
IFS Swiss Small & Mid Cap Equity Fund - I | Aktien | CHF | 512.39 | 12.26 | CH0467745201 |
IFS Swiss Small & Mid Cap Equity Fund - S | Aktien | CHF | 113.71 | 12.41 | CH1319018599 |
IFS Swiss Small & Mid Cap Equity Fund - T | Aktien | CHF | 478.74 | 11.96 | CH0467745151 |
IFS Swiss Small & Mid Cap Equity Fund - X | Aktien | CHF | 140.25 | 12.83 | CH0515155189 |
Fund class | Asset Class | Unit currency | NAV excl. comm. | YTD in % | ISIN |
---|---|---|---|---|---|
ReCap Volatility Premia Strategy - USD A | Alternative Fonds | USD | 105.98 | -0.62 | CH1236696246 |
Fund class | Asset Class | Unit currency | NAV excl. comm. | YTD in % | ISIN |
---|---|---|---|---|---|
Lienhardt & Partner Core Strategy Fund - A-CHF | Strategiefonds | CHF | 86.39 | 2.64 | CH0002789847 |
Lienhardt & Partner Core Strategy Fund - I-CHF | Strategiefonds | CHF | 128.92 | 3.04 | CH0235616270 |
Lienhardt & Partner Core Strategy Fund - R-CHF | Strategiefonds | CHF | 90.47 | 2.84 | CH0562134103 |
Fund class | Asset Class | Unit currency | NAV excl. comm. | YTD in % | ISIN |
---|---|---|---|---|---|
iNdx Aktien Schweiz (CHF) - LLB | Aktien | CHF | 2'035.34 | 9.43 | CH0421963817 |
iNdx Aktien Schweiz (CHF) - P | Aktien | CHF | 145.27 | 9.27 | CH0421963825 |
iNdx Aktien Schweiz ESG (CHF) - LLB | Aktien | CHF | 115.78 | 9.08 | CH1106443760 |
iNdx Aktien Schweiz ESG (CHF) - P | Aktien | CHF | 115.01 | 8.92 | CH1106443778 |
LLB Aktien Regio Bodensee (CHF) | Aktien | CHF | 499.84 | 14.16 | CH0421963791 |
LLB Aktien Regio Zürichsee (CHF) | Aktien | CHF | 412.33 | 14.59 | CH0421963809 |
LLB Aktien Schweiz (CHF) | Aktien | CHF | 368.10 | 10.08 | CH0421963783 |
Fund class | Asset Class | Unit currency | NAV excl. comm. | YTD in % | ISIN |
---|---|---|---|---|---|
MBC Immo Swiss - Indirect Broad L-QIF - A | Strategiefonds | CHF | 101.08 | 1.08 | CH1470553004 |
MBC Immo Swiss - Indirect Broad L-QIF - B | Strategiefonds | CHF | 101.08 | 1.08 | CH1470553012 |
MBC Immo Swiss - Indirect Focus L-QIF - A | Strategiefonds | CHF | 101.40 | 1.40 | CH1470553046 |
MBC Immo Swiss - Indirect Focus L-QIF - B | Strategiefonds | CHF | 101.40 | 1.40 | CH1470553053 |
Fund class | Asset Class | Unit currency | NAV excl. comm. | YTD in % | ISIN |
---|---|---|---|---|---|
NPB Dynamic Fixed Income Fund - EUR | Short Term & Bonds | EUR | 103.00 | 1.94 | CH0038053606 |
Fund class | Asset Class | Unit currency | NAV excl. comm. | YTD in % | ISIN |
---|---|---|---|---|---|
PARstrategie nachhaltig 25 ESG Fonds | Strategiefonds | CHF | 122.61 | 4.41 | CH0205879213 |
PARstrategie nachhaltig 45 ESG Fonds | Strategiefonds | CHF | 1'285.68 | 4.54 | CH0185662878 |
Fund class | Asset Class | Unit currency | NAV excl. comm. | YTD in % | ISIN |
---|---|---|---|---|---|
Pilatus Invest Income CHF Klasse B | Short Term & Bonds | CHF | 987.81 | 0.83 | CH0249153708 |
Pilatus Invest Income CHF Klasse I | Short Term & Bonds | CHF | 999.30 | 0.93 | CH0249153716 |
Pilatus Invest Income CHF Klasse M | Short Term & Bonds | CHF | 1'016.72 | 1.16 | CH1389792586 |
Pilatus Invest Income EUR Klasse B | Short Term & Bonds | EUR | 1'003.01 | 1.74 | CH0252818031 |
Pilatus Invest Income EUR Klasse I | Short Term & Bonds | EUR | 1'017.96 | 1.88 | CH0252818072 |
Pilatus Invest Income EUR Klasse M | Short Term & Bonds | EUR | 1'023.81 | 2.14 | CH1389792602 |
Pilatus Invest Income USD Klasse B | Short Term & Bonds | USD | 1'190.36 | 4.30 | CH0249153930 |
Pilatus Invest Income USD Klasse I | Short Term & Bonds | USD | 1'209.15 | 4.44 | CH0249153948 |
Pilatus Invest Income USD Klasse M | Short Term & Bonds | USD | 1'047.32 | 4.70 | CH1389792594 |
Fund class | Asset Class | Unit currency | NAV excl. comm. | YTD in % | ISIN |
---|---|---|---|---|---|
Reichmuth Aktienselektion Schweiz Fonds - I CHF | Aktien | CHF | 1'074.82 | 8.07 | CH1171117513 |
Fund class | Asset Class | Unit currency | NAV excl. comm. | YTD in % | ISIN |
---|---|---|---|---|---|
RM Smart Strategy Fund CHF Klasse | Aktien | CHF | 26'170.48 | 23.75 | CH0297417526 |
RM Smart Strategy Fund EUR Klasse | Aktien | EUR | 26'465.27 | 25.57 | CH0256574978 |
Fund class | Asset Class | Unit currency | NAV excl. comm. | YTD in % | ISIN |
---|---|---|---|---|---|
Alpina Swiss Opportunity Fund - AIC CHF | Aktien | CHF | 588.90 | 8.80 | CH1148717189 |
Alpina Swiss Opportunity Fund - ARC CHF | Aktien | CHF | 576.52 | 8.38 | CH1148717197 |
Alpina Swiss Opportunity Fund - SRC CHF | Aktien | CHF | 315.38 | 8.62 | CH0021778029 |
Fund class | Asset Class | Unit currency | NAV excl. comm. | YTD in % | ISIN |
---|---|---|---|---|---|
Sprott-Alpina Gold Equity Fund A | Aktien | USD | 545.25 | 74.53 | CH0002783535 |
Sprott-Alpina Gold Equity Fund H Euro | Aktien | EUR | 61.89 | 69.59 | CH0124247377 |
Fund class | Asset Class | Unit currency | NAV excl. comm. | YTD in % | ISIN |
---|---|---|---|---|---|
Precious Capital Global Mining & Met. Fd - 1 (CHF) | Aktien | CHF | 140.62 | 61.72 | CH0023335752 |
Precious Capital Global Mining & Met. Fd - 2 (USD) | Aktien | USD | 251.32 | 73.89 | CH0117447208 |
Precious Capital Global Mining & Met. Fd - 3 (CHF) | Aktien | CHF | 218.00 | 60.38 | CH0272025229 |
Precious Capital Global Mining & Met. Fd - 4 (USD) | Aktien | USD | 255.03 | 74.55 | CH0301687114 |
Surtsey Metals & Mining Fund - 2 (USD) | Aktien | USD | 123.50 | 33.23 | CH0570650256 |
Surtsey Metals & Mining Fund - S (CHF) | Aktien | CHF | 106.37 | 16.64 | CH0570650231 |
Fund class | Asset Class | Unit currency | NAV excl. comm. | YTD in % | ISIN |
---|---|---|---|---|---|
TFO Core Invest - P CHF | Aktien | CHF | 107.57 | 10.23 | CH0582221906 |
TFO Core Invest - TFO CHF | Aktien | CHF | 108.49 | 10.74 | CH0582221880 |
Fund class | Asset Class | Unit currency | NAV excl. comm. | YTD in % | ISIN |
---|---|---|---|---|---|
UvA Swiss Equity Fund A (CHF) | Aktien | CHF | 165.84 | 6.57 | CH0361683599 |
UvA Swiss Equity Fund I (CHF) | Aktien | CHF | 175.95 | 6.92 | CH0361683615 |
Fund class | Asset Class | Unit currency | NAV excl. comm. | YTD in % | ISIN |
---|---|---|---|---|---|
Swiss Active Alpha Fund P | Aktien | CHF | 396.54 | 5.75 | CH0021864977 |
Fund class | Asset Class | Unit currency | NAV excl. comm. | YTD in % | ISIN |
---|---|---|---|---|---|
VPV Swiss Small & Mid Cap Equity Fund - I | Aktien | CHF | 137.45 | 15.35 | CH0534713208 |
Fund class | Asset Class | Unit currency | NAV excl. comm. | YTD in % | ISIN |
---|---|---|---|---|---|
Wydler Global Bond Fund - A CHF | Short Term & Bonds | CHF | 91.99 | 1.54 | CH0142404869 |
Wydler Global Bond Fund - A EURh | Short Term & Bonds | EUR | 80.79 | 2.81 | CH1117663786 |
Wydler Global Equity Fund | Aktien | CHF | 259.66 | 11.86 | CH0016137736 |
Fund class | Asset Class | Unit currency | NAV excl. comm. | YTD in % | ISIN |
---|---|---|---|---|---|
zCapital Swiss Dividend Fund A Klasse | Aktien | CHF | 2'400.99 | 10.79 | CH0194666555 |
zCapital Swiss Dividend Fund M Klasse | Aktien | CHF | 1'102.18 | 11.45 | CH1271166220 |
zCapital Swiss Dividend Fund ZA Klasse | Aktien | CHF | 3'261.71 | 10.96 | CH0199944593 |
zCapital Swiss ESG Fund A Klasse | Aktien | CHF | 1'237.84 | 10.80 | CH0592732678 |
zCapital Swiss ESG Fund ZA Klasse | Aktien | CHF | 1'274.08 | 11.05 | CH0592732686 |
zCapital Swiss Small & Mid Cap Fund A Klasse | Aktien | CHF | 4'464.68 | 12.11 | CH0045341648 |
zCapital Swiss Small & Mid Cap Fund M Klasse | Aktien | CHF | 1'176.24 | 13.16 | CH1271166238 |
zCapital Swiss Small & Mid Cap Fund S Klasse | Aktien | CHF | 1'072.80 | 7.28 | CH1392254624 |
zCapital Swiss Small & Mid Cap Fund ZA Klasse | Aktien | CHF | 4'764.01 | 12.47 | CH0224756806 |