Titel
ISIN
  Ertragstyp
Währung
Fondsgesellschaft Rückn. Preis
Datum
Perf. 3M Perf. 1J Perf. 3J Perf. 5J SR (1J)
Vola. (1J)
 
AAM Short Term Bond Fund
LI0489120274
thesaurierend
USD
VP Fund Sol. (LI) 111.2000
10.06.2024
+1.65% +8.66% +0.06% - 3.09
1.6%
AAM Short Term Bond Fund H
LI0489120258
thesaurierend
EUR
VP Fund Sol. (LI) 102.0500
10.06.2024
+1.27% +6.80% -5.48% - 1.93
1.6%
AAM Short Term Bond Fund I
LI0489120290
thesaurierend
USD
VP Fund Sol. (LI) 113.1800
10.06.2024
+1.75% +9.07% +1.20% - 3.35
1.6%
AAM Short Term Bond Fund IH
LI0489120225
thesaurierend
CHF
VP Fund Sol. (LI) 97.8400
10.06.2024
+0.64% +4.41% -8.76% - 0.42
1.6%
AAM Short Term Bond Fund IH
LI0489120233
thesaurierend
CHF
VP Fund Sol. (LI) 99.6200
10.06.2024
+0.72% +4.83% -7.67% - 0.68
1.62%
AAM Short Term Bond Fund IH
LI0489120266
thesaurierend
EUR
VP Fund Sol. (LI) 104.0400
10.06.2024
+1.34% +7.10% -4.26% - 2.11
1.6%
AAM Short Term Bond Fund IH
LI1119130519
thesaurierend
GBP
VP Fund Sol. (LI) 99.9800
10.06.2024
+1.67% +8.64% - - 3.10
1.59%
AAM Short Term Bond Fund N
LI1227952549
thesaurierend
USD
VP Fund Sol. (LI) 106.5900
10.06.2024
+1.34% +7.31% - - 2.24
1.6%
AAM Short Term Bond Fund ND
LI1229803310
ausschüttend
USD
VP Fund Sol. (LI) 105.9300
10.06.2024
+0.71% +6.64% - - 1.69
1.73%
AAM Short Term Bond Fund UO
LI1227952556
thesaurierend
USD
VP Fund Sol. (LI) 107.7500
10.06.2024
+1.54% +8.17% - - 2.79
1.6%
AAM Short Term Bond Fund UOD
LI1229803328
ausschüttend
USD
VP Fund Sol. (LI) 107.1200
10.06.2024
+0.93% +7.54% - - 2.23
1.71%
Alegra ABS I (Euro) Portf.
LI0019000533
thesaurierend
EUR
VP Fund Sol. (LI) 5'978.7202
31.05.2024
+5.97% +31.11% +30.72% - 7.14
3.83%
Alegra ABS Two(Euro)Portf.EUR
LI0029698599
thesaurierend
EUR
VP Fund Sol. (LI) 8'026.3901
31.05.2024
+8.18% +34.86% - - 7.08
4.39%
Alegra Credit Portfolio
LI0231283529
thesaurierend
EUR
VP Fund Sol. (LI) 133.8000
31.05.2024
+5.26% +5.41% -11.31% - 0.14
11.66%
Alegra High Grade ABS Portfolio CHF
LI0365682298
thesaurierend
CHF
VP Fund Sol. (LI) 1'109.7100
31.05.2024
+1.97% +11.70% +6.81% +9.96% 3.38
2.35%
Alegra High Grade ABS Portfolio EUR
LI0027320568
thesaurierend
EUR
VP Fund Sol. (LI) 1'811.2200
31.05.2024
+2.59% +13.94% +10.59% +14.41% 4.65
2.19%
Daneo Private Debt Fund I V-A
LI0381461131
ausschüttend
CHF
VP Fund Sol. (LI) 1'017.6800
30.04.2024
+1.64% +5.79% +10.81% +10.77% -
0.74%
Icosa Cat Bond Fund SI2 - EUR Acc
LI1302984177
thesaurierend
EUR
VP Fund Sol. (LI) 1'002.4200
31.05.2024
- - - - -
-
Solitaire Global Bond Fund
LI0229057109
thesaurierend
USD
VP Fund Sol. (LI) 172.4100
10.06.2024
+3.18% +19.34% +4.85% +32.16% 3.19
4.92%
Solitaire Global Bond Fund - CHF A
LI0325825573
ausschüttend
CHF
VP Fund Sol. (LI) 9.0000
10.06.2024
+2.15% +14.45% -4.85% +14.33% 2.19
4.91%