Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
A
|
CHF |
CH0023568022 |
2356802 |
490,11
|
7.44%
|
1. Nov. 2024
|
Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
I
|
CHF |
CH0565681803 |
56568180 |
141,69
|
17.65%
|
1. Nov. 2024
|
S
|
CHF |
CH0248079227 |
24807922 |
211,79
|
18.35%
|
1. Nov. 2024
|
Schweizer Aktien
Conviction Equities Boutique
Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
A
|
CHF |
CH0002795703 |
279570 |
649,47
|
9.01%
|
1. Nov. 2024
|
AN
|
CHF |
CH0381682605 |
38168260 |
125,74
|
9.58%
|
1. Nov. 2024
|
I
|
CHF |
CH1238287812 |
123828781 |
110,60
|
9.89%
|
1. Nov. 2024
|
S
|
CHF |
CH0212266750 |
21226675 |
188,20
|
10.45%
|
1. Nov. 2024
|
Schweizer Aktien
Conviction Equities Boutique
Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
A
|
CHF |
CH0046922354 |
4692235 |
274,50
|
6.34%
|
1. Nov. 2024
|
AI
|
CHF |
CH0046964547 |
4696454 |
297,95
|
6.93%
|
1. Nov. 2024
|
AN
|
CHF |
CH0294647554 |
29464755 |
152,96
|
6.92%
|
1. Nov. 2024
|
G
|
CHF |
CH1100741060 |
110074106 |
106,57
|
7.27%
|
1. Nov. 2024
|
I
|
CHF |
CH0381683991 |
38168399 |
135,59
|
6.92%
|
1. Nov. 2024
|
S
|
CHF |
CH0414998804 |
41499880 |
165,44
|
7.74%
|
1. Nov. 2024
|
Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
A
|
CHF |
CH1303570100 |
130357010 |
103,15
|
-
|
1. Nov. 2024
|
AE
|
CHF |
CH1303570092 |
130357009 |
103,80
|
-
|
1. Nov. 2024
|
AI
|
CHF |
CH1303570142 |
130357014 |
103,59
|
-
|
1. Nov. 2024
|
AN
|
CHF |
CH1303570126 |
130357012 |
103,58
|
-
|
1. Nov. 2024
|
B
|
CHF |
CH1303570118 |
130357011 |
103,16
|
-
|
1. Nov. 2024
|
I
|
CHF |
CH1303570159 |
130357015 |
103,58
|
-
|
1. Nov. 2024
|
N
|
CHF |
CH1369534040 |
136953404 |
100,55
|
-
|
1. Nov. 2024
|
Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
A
|
CHF |
CH0002795729 |
279572 |
1.270,81
|
5.38%
|
1. Nov. 2024
|
AI
|
CHF |
CH0102869440 |
10286944 |
282,39
|
6.05%
|
1. Nov. 2024
|
AN
|
CHF |
CH0381682597 |
38168259 |
121,77
|
6.05%
|
1. Nov. 2024
|
B
|
CHF |
CH1183765010 |
118376501 |
111,83
|
5.43%
|
1. Nov. 2024
|
G
|
CHF |
CH1183765044 |
118376504 |
114,12
|
6.31%
|
1. Nov. 2024
|
I
|
CHF |
CH1183765028 |
118376502 |
113,52
|
6.05%
|
1. Nov. 2024
|
N
|
CHF |
CH1183765036 |
118376503 |
113,37
|
6.05%
|
1. Nov. 2024
|
S
|
CHF |
CH1183765051 |
118376505 |
113,90
|
6.78%
|
1. Nov. 2024
|
Schweizer Aktien
Quantitative Investments
Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
A
|
CHF |
CH0311188863 |
31118886 |
180,49
|
8.15%
|
1. Nov. 2024
|
AI
|
CHF |
CH0311189580 |
31118958 |
123,03
|
8.61%
|
1. Nov. 2024
|
AN
|
CHF |
CH0381682621 |
38168262 |
136,88
|
8.61%
|
1. Nov. 2024
|
S
|
CHF |
CH0311189556 |
31118955 |
189,44
|
9.06%
|
1. Nov. 2024
|
Aktien des Raums Asien
Quality Growth Boutique
Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
A
|
USD |
LU0084450369 |
634792 |
407,70
|
3.80%
|
4. Nov. 2024
|
AN
|
USD |
LU1683484288 |
38261468 |
100,55
|
4.53%
|
4. Nov. 2024
|
B
|
USD |
LU0084408755 |
634794 |
484,04
|
3.80%
|
4. Nov. 2024
|
C
|
USD |
LU0137007026 |
1301471 |
190,75
|
3.27%
|
4. Nov. 2024
|
H (hedged)
|
EUR |
LU0218912409 |
2143010 |
153,10
|
2.25%
|
4. Nov. 2024
|
HI (hedged)
|
EUR |
LU0368556733 |
4289822 |
132,02
|
3.14%
|
4. Nov. 2024
|
HN (hedged)
|
EUR |
LU1683484106 |
38261467 |
87,71
|
2.96%
|
4. Nov. 2024
|
I
|
USD |
LU0278091540 |
2870646 |
192,84
|
4.71%
|
4. Nov. 2024
|
N
|
USD |
LU0923573769 |
21256887 |
140,71
|
4.53%
|
4. Nov. 2024
|
Schwellenländeraktien
Quality Growth Boutique
Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
A
|
USD |
LU0040506734 |
618762 |
557,14
|
0.24%
|
31. Okt. 2024
|
AHI (hedged)
|
EUR |
LU0858753618 |
20093377 |
82,41
|
-0.42%
|
31. Okt. 2024
|
AN
|
USD |
LU1233654372 |
28256244 |
94,98
|
1.16%
|
31. Okt. 2024
|
B
|
USD |
LU0040507039 |
618763 |
688,83
|
0.24%
|
31. Okt. 2024
|
C
|
USD |
LU0137006218 |
1301503 |
175,24
|
-0.26%
|
31. Okt. 2024
|
H (hedged)
|
CHF |
LU0469618119 |
10765166 |
77,16
|
-3.33%
|
31. Okt. 2024
|
H (hedged)
|
EUR |
LU0218912235 |
2143009 |
155,59
|
-1.35%
|
31. Okt. 2024
|
HC (hedged)
|
EUR |
LU0333249109 |
3813691 |
135,65
|
-1.82%
|
31. Okt. 2024
|
HI (hedged)
|
EUR |
LU0368556220 |
4289807 |
108,39
|
-0.44%
|
31. Okt. 2024
|
HI (hedged)
|
CHF |
LU0469618382 |
10765176 |
99,20
|
-2.41%
|
31. Okt. 2024
|
HN (hedged)
|
EUR |
LU1179463556 |
26913860 |
87,07
|
-0.41%
|
31. Okt. 2024
|
HN (hedged)
|
CHF |
LU1683486069 |
38261775 |
73,53
|
-2.45%
|
31. Okt. 2024
|
I
|
USD |
LU0278093082 |
2870698 |
183,27
|
1.15%
|
31. Okt. 2024
|
I
|
GBP |
LU0787641983 |
18667507 |
150,85
|
0.31%
|
31. Okt. 2024
|
N
|
USD |
LU0858753535 |
20093248 |
109,51
|
1.16%
|
31. Okt. 2024
|
S
|
USD |
LU0209301448 |
2035840 |
372,75
|
1.78%
|
31. Okt. 2024
|
Thematische Aktien
Conviction Equities Boutique
Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
A
|
EUR |
LU0384406087 |
4513028 |
215,62
|
9.06%
|
31. Okt. 2024
|
A
|
CHF |
LU1407930194 |
32490974 |
127,15
|
10.13%
|
31. Okt. 2024
|
AN
|
EUR |
LU1683485418 |
38261423 |
112,43
|
9.81%
|
31. Okt. 2024
|
B
|
EUR |
LU0384406160 |
4513032 |
218,47
|
9.07%
|
31. Okt. 2024
|
B
|
CHF |
LU1407930277 |
32492373 |
128,42
|
10.12%
|
31. Okt. 2024
|
C
|
USD |
LU0571082402 |
12236050 |
123,40
|
6.66%
|
31. Okt. 2024
|
C
|
EUR |
LU0384406244 |
4513037 |
198,01
|
8.52%
|
31. Okt. 2024
|
H (hedged)
|
CHF |
LU0469623382 |
10766818 |
104,10
|
6.68%
|
31. Okt. 2024
|
HN (hedged)
|
CHF |
LU1683485509 |
38261425 |
105,63
|
7.39%
|
31. Okt. 2024
|
I
|
EUR |
LU0384406327 |
4513042 |
251,01
|
9.86%
|
31. Okt. 2024
|
N
|
EUR |
LU0952815594 |
21852692 |
128,57
|
9.82%
|
31. Okt. 2024
|
N
|
USD |
LU2269201534 |
58728800 |
91,89
|
7.93%
|
31. Okt. 2024
|
Europäische Aktien
Quality Growth Boutique
Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
A
|
EUR |
LU0153585053 |
1473234 |
358,10
|
6.22%
|
31. Okt. 2024
|
AN
|
EUR |
LU1683482662 |
38261686 |
137,81
|
6.96%
|
31. Okt. 2024
|
B
|
EUR |
LU0153585137 |
1473236 |
398,30
|
6.22%
|
31. Okt. 2024
|
C
|
EUR |
LU0153585210 |
1473239 |
266,36
|
5.69%
|
31. Okt. 2024
|
G
|
EUR |
LU1506585600 |
34306539 |
166,95
|
7.42%
|
31. Okt. 2024
|
I
|
EUR |
LU0278085062 |
2870656 |
235,27
|
7.13%
|
31. Okt. 2024
|
N
|
EUR |
LU1683480294 |
38261406 |
143,08
|
6.97%
|
31. Okt. 2024
|
Globale Aktien
Conviction Equities Boutique
Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
A
|
EUR |
LU0384405519 |
4513009 |
570,62
|
11.42%
|
31. Okt. 2024
|
A
|
CHF |
LU1407930350 |
32492448 |
339,45
|
12.50%
|
31. Okt. 2024
|
AN
|
EUR |
LU1683485178 |
38261404 |
195,52
|
12.19%
|
31. Okt. 2024
|
AN
|
CHF |
LU1683484874 |
38261395 |
159,54
|
13.29%
|
31. Okt. 2024
|
AQNG
|
USD |
LU2585198927 |
124901269 |
120,42
|
10.63%
|
31. Okt. 2024
|
B
|
EUR |
LU0384405600 |
4513015 |
577,57
|
11.42%
|
31. Okt. 2024
|
B
|
CHF |
LU1407930780 |
32492550 |
343,01
|
12.50%
|
31. Okt. 2024
|
C
|
USD |
LU1956006941 |
47375662 |
257,16
|
8.95%
|
31. Okt. 2024
|
C
|
EUR |
LU1651443175 |
37575398 |
189,29
|
10.86%
|
31. Okt. 2024
|
G
|
USD |
LU2604377981 |
125974902 |
118,62
|
10.67%
|
31. Okt. 2024
|
H (hedged)
|
CHF |
LU1407930947 |
32499576 |
204,77
|
9.02%
|
31. Okt. 2024
|
H (hedged)
|
USD |
LU1618348079 |
36844119 |
214,68
|
12.79%
|
31. Okt. 2024
|
HN (hedged)
|
CHF |
LU1683485095 |
38261401 |
183,57
|
9.82%
|
31. Okt. 2024
|
HN (hedged)
|
USD |
LU1683485251 |
38261407 |
223,40
|
13.56%
|
31. Okt. 2024
|
HNG (hedged)
|
USD |
LU2708310797 |
130394645 |
123,79
|
13.93%
|
31. Okt. 2024
|
HNG (hedged)
|
CHF |
LU2708310870 |
130394663 |
119,22
|
10.22%
|
31. Okt. 2024
|
HNG (hedged)
|
SGD |
LU2708310953 |
130393997 |
121,78
|
12.30%
|
31. Okt. 2024
|
HS (hedged)
|
CHF |
LU2801348728 |
134496228 |
102,84
|
-
|
31. Okt. 2024
|
I
|
EUR |
LU0384405949 |
4513022 |
663,39
|
12.23%
|
31. Okt. 2024
|
I
|
USD |
LU2250008831 |
57844131 |
128,01
|
10.31%
|
31. Okt. 2024
|
N
|
CHF |
LU1683484957 |
38261399 |
160,22
|
13.29%
|
31. Okt. 2024
|
N
|
EUR |
LU1598842364 |
36446865 |
200,73
|
12.20%
|
31. Okt. 2024
|
N
|
GBP |
LU1618348236 |
36844166 |
196,08
|
9.54%
|
31. Okt. 2024
|
NG
|
EUR |
LU2640912098 |
127905850 |
112,51
|
12.57%
|
31. Okt. 2024
|
NG
|
USD |
LU2585198844 |
124901268 |
120,79
|
10.62%
|
31. Okt. 2024
|
NG
|
GBP |
LU2585198760 |
124900235 |
114,17
|
9.69%
|
31. Okt. 2024
|
Globale Aktien
Quality Growth Boutique
Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
A
|
USD |
LU0218910023 |
2140205 |
426,29
|
9.44%
|
31. Okt. 2024
|
AHG (hedged)
|
CHF |
LU2662990873 |
128790782 |
110,32
|
6.68%
|
31. Okt. 2024
|
AI
|
EUR |
LU1121575069 |
25693957 |
286,06
|
12.30%
|
31. Okt. 2024
|
AN
|
USD |
LU1683485921 |
38261765 |
176,85
|
10.20%
|
31. Okt. 2024
|
B
|
SEK |
LU0979498168 |
22522410 |
405,67
|
16.20%
|
31. Okt. 2024
|
B
|
USD |
LU0218910536 |
2140207 |
445,24
|
9.44%
|
31. Okt. 2024
|
C
|
USD |
LU0218910965 |
2140211 |
406,62
|
8.88%
|
31. Okt. 2024
|
G
|
USD |
LU1489322047 |
33901045 |
221,39
|
10.57%
|
31. Okt. 2024
|
H (hedged)
|
SEK |
LU0971939599 |
22340335 |
200,53
|
7.44%
|
31. Okt. 2024
|
H (hedged)
|
EUR |
LU0218911690 |
2140210 |
203,01
|
7.70%
|
31. Okt. 2024
|
HC (hedged)
|
EUR |
LU0333249364 |
3813702 |
324,95
|
7.19%
|
31. Okt. 2024
|
HI (hedged)
|
CHF |
LU2243976318 |
57644342 |
112,89
|
6.37%
|
31. Okt. 2024
|
HI (hedged)
|
EUR |
LU0368555768 |
4289761 |
250,73
|
8.67%
|
31. Okt. 2024
|
HN (hedged)
|
CHF |
LU2277595851 |
58993771 |
103,85
|
6.27%
|
31. Okt. 2024
|
HN (hedged)
|
EUR |
LU1550202458 |
35324119 |
176,24
|
8.47%
|
31. Okt. 2024
|
HS (hedged)
|
CHF |
LU2090086880 |
51360787 |
125,53
|
7.09%
|
31. Okt. 2024
|
I
|
GBP |
LU0824095136 |
19381737 |
387,27
|
9.44%
|
31. Okt. 2024
|
I
|
USD |
LU0278093595 |
2870708 |
363,92
|
10.37%
|
31. Okt. 2024
|
N
|
USD |
LU0858753451 |
20093228 |
296,56
|
10.20%
|
31. Okt. 2024
|
S
|
USD |
LU0571091494 |
12235870 |
366,29
|
11.14%
|
31. Okt. 2024
|
Globale Aktien
Quality Growth Boutique
Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
A Gross
|
USD |
LU0129603287 |
1222584 |
256,88
|
6.36%
|
31. Okt. 2024
|
AQ Gross
|
USD |
LU1651442953 |
37575134 |
126,27
|
6.36%
|
31. Okt. 2024
|
B
|
USD |
LU0129603360 |
1222595 |
352,42
|
6.36%
|
31. Okt. 2024
|
H (hedged)
|
EUR |
LU0219097184 |
2143917 |
159,37
|
4.57%
|
31. Okt. 2024
|
HI (hedged)
|
EUR |
LU0368556063 |
4289795 |
139,38
|
5.30%
|
31. Okt. 2024
|
I
|
USD |
LU0278093322 |
2870705 |
177,52
|
7.12%
|
31. Okt. 2024
|
N
|
USD |
LU1683481771 |
38261773 |
143,44
|
7.08%
|
31. Okt. 2024
|
Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
E
|
USD |
LU2601939882 |
127545396 |
115,97
|
5.40%
|
31. Okt. 2024
|
HN (hedged)
|
CHF |
LU2777474995 |
133319970 |
99,91
|
-
|
31. Okt. 2024
|
I
|
USD |
LU2601939379 |
127545380 |
115,48
|
5.02%
|
31. Okt. 2024
|
N
|
GBP |
LU2644752524 |
128483825 |
111,29
|
4.15%
|
31. Okt. 2024
|
N
|
EUR |
LU2601939536 |
127545388 |
113,90
|
6.77%
|
31. Okt. 2024
|
N
|
CHF |
LU2711871066 |
130583523 |
109,84
|
7.80%
|
31. Okt. 2024
|
N
|
USD |
LU2711870928 |
130583511 |
111,61
|
4.96%
|
31. Okt. 2024
|
S
|
USD |
LU2601939452 |
127545393 |
116,46
|
5.69%
|
31. Okt. 2024
|
Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
A
|
USD |
LU0384409180 |
4514032 |
366,18
|
10.67%
|
31. Okt. 2024
|
AN
|
USD |
LU1683484361 |
38261477 |
105,77
|
11.44%
|
31. Okt. 2024
|
B
|
USD |
LU0384409263 |
4514037 |
393,41
|
10.67%
|
31. Okt. 2024
|
H (hedged)
|
EUR |
LU0384409693 |
4514046 |
315,80
|
8.97%
|
31. Okt. 2024
|
HI (hedged)
|
EUR |
LU0384409933 |
4514053 |
359,78
|
9.79%
|
31. Okt. 2024
|
HN (hedged)
|
CHF |
LU2621354468 |
126902053 |
110,16
|
7.41%
|
31. Okt. 2024
|
HN (hedged)
|
EUR |
LU1683482589 |
38261481 |
96,26
|
9.76%
|
31. Okt. 2024
|
I
|
USD |
LU0384410279 |
4514057 |
452,14
|
11.48%
|
31. Okt. 2024
|
N
|
GBP |
LU2019989305 |
48633832 |
113,80
|
10.68%
|
31. Okt. 2024
|
N
|
USD |
LU1683484445 |
38261488 |
112,72
|
11.44%
|
31. Okt. 2024
|
S
|
USD |
LU2146184358 |
53721716 |
126,57
|
12.38%
|
31. Okt. 2024
|
Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
A
|
USD |
LU0571085330 |
12236105 |
136,98
|
9.53%
|
31. Okt. 2024
|
AG
|
USD |
LU1993004743 |
47781596 |
97,65
|
10.71%
|
31. Okt. 2024
|
AH (hedged)
|
EUR |
LU1725744087 |
39290530 |
81,03
|
7.84%
|
31. Okt. 2024
|
AI
|
USD |
LU1609308298 |
36643668 |
115,96
|
10.32%
|
31. Okt. 2024
|
AN
|
GBP |
LU1717118191 |
39078906 |
97,61
|
9.55%
|
31. Okt. 2024
|
AN
|
USD |
LU1683485681 |
38261784 |
96,32
|
10.29%
|
31. Okt. 2024
|
B
|
USD |
LU0571085413 |
12236106 |
150,71
|
9.54%
|
31. Okt. 2024
|
G
|
USD |
LU1767066605 |
40236190 |
99,45
|
10.71%
|
31. Okt. 2024
|
H (hedged)
|
EUR |
LU1646585114 |
37470435 |
93,51
|
7.82%
|
31. Okt. 2024
|
HI (hedged)
|
EUR |
LU1650589762 |
37574631 |
96,85
|
8.67%
|
31. Okt. 2024
|
HI (hedged)
|
CHF |
LU1550202615 |
35324235 |
108,66
|
6.47%
|
31. Okt. 2024
|
HN (hedged)
|
CHF |
LU1725744830 |
39290546 |
84,87
|
6.42%
|
31. Okt. 2024
|
HN (hedged)
|
EUR |
LU1936213682 |
45874243 |
98,29
|
8.57%
|
31. Okt. 2024
|
I
|
EUR |
LU1626216888 |
37012594 |
129,71
|
12.26%
|
31. Okt. 2024
|
I
|
USD |
LU0571085686 |
12236113 |
169,11
|
10.33%
|
31. Okt. 2024
|
N
|
USD |
LU1626216961 |
37012602 |
125,41
|
10.30%
|
31. Okt. 2024
|
N
|
GBP |
LU1618348582 |
36844873 |
126,65
|
9.54%
|
31. Okt. 2024
|
N
|
EUR |
LU1918004273 |
45186126 |
127,31
|
12.23%
|
31. Okt. 2024
|
S
|
USD |
LU1572142096 |
35836106 |
147,85
|
11.22%
|
31. Okt. 2024
|
Globale Aktien
Quantitative Investments
Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
A
|
USD |
LU0848325295 |
19879634 |
194,37
|
10.59%
|
31. Okt. 2024
|
AN
|
USD |
LU1683487547 |
38261790 |
138,82
|
11.28%
|
31. Okt. 2024
|
B
|
USD |
LU0848325378 |
19879674 |
201,94
|
10.59%
|
31. Okt. 2024
|
H (hedged)
|
CHF |
LU0848326186 |
19885583 |
151,84
|
6.76%
|
31. Okt. 2024
|
H (hedged)
|
EUR |
LU0848326269 |
19885633 |
162,79
|
8.93%
|
31. Okt. 2024
|
HI (hedged)
|
EUR |
LU0848326855 |
19885713 |
147,36
|
9.64%
|
31. Okt. 2024
|
HI (hedged)
|
CHF |
LU0848326772 |
19885684 |
137,03
|
7.47%
|
31. Okt. 2024
|
HN (hedged)
|
GBP |
LU1179465338 |
26920784 |
143,70
|
10.75%
|
31. Okt. 2024
|
HN (hedged)
|
CHF |
LU1683482233 |
38261788 |
116,43
|
7.42%
|
31. Okt. 2024
|
HN (hedged)
|
EUR |
LU1179465684 |
26920792 |
132,02
|
9.62%
|
31. Okt. 2024
|
I
|
USD |
LU0848325618 |
19879675 |
221,80
|
11.31%
|
31. Okt. 2024
|
N
|
USD |
LU0848325709 |
19884402 |
161,99
|
11.28%
|
31. Okt. 2024
|
Schweizer Aktien
Conviction Equities Boutique
Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
A
|
CHF |
LU0129602552 |
1222574 |
247,49
|
1.99%
|
31. Okt. 2024
|
AN
|
CHF |
LU1683480708 |
38261479 |
118,45
|
2.70%
|
31. Okt. 2024
|
B
|
CHF |
LU0129602636 |
1222576 |
253,14
|
1.99%
|
31. Okt. 2024
|
I
|
CHF |
LU0278085229 |
2870677 |
183,88
|
2.74%
|
31. Okt. 2024
|
N
|
CHF |
LU1684195974 |
38261793 |
121,06
|
2.71%
|
31. Okt. 2024
|
S
|
CHF |
LU1700372607 |
38689197 |
128,36
|
3.57%
|
31. Okt. 2024
|
US-Aktien
Quality Growth Boutique
Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
A
|
USD |
LU0035763456 |
607575 |
1.935,43
|
10.59%
|
31. Okt. 2024
|
AI
|
USD |
LU1506584975 |
34305866 |
272,75
|
11.54%
|
31. Okt. 2024
|
AN
|
USD |
LU1683485764 |
38261795 |
221,39
|
11.36%
|
31. Okt. 2024
|
ANG
|
USD |
LU1550199050 |
35323704 |
257,69
|
11.80%
|
31. Okt. 2024
|
B
|
USD |
LU0035765741 |
607574 |
2.419,63
|
10.59%
|
31. Okt. 2024
|
C
|
USD |
LU0137005913 |
1301480 |
576,29
|
10.04%
|
31. Okt. 2024
|
G
|
USD |
LU1428951294 |
32785796 |
291,61
|
11.84%
|
31. Okt. 2024
|
H (hedged)
|
EUR |
LU0218912151 |
2143008 |
365,75
|
8.94%
|
31. Okt. 2024
|
HI (hedged)
|
CHF |
LU0469626211 |
10768533 |
224,22
|
7.63%
|
31. Okt. 2024
|
HI (hedged)
|
EUR |
LU0368557038 |
4289839 |
476,79
|
9.84%
|
31. Okt. 2024
|
HN (hedged)
|
EUR |
LU1683485848 |
38261806 |
188,22
|
9.70%
|
31. Okt. 2024
|
I
|
USD |
LU0278092605 |
2870679 |
520,67
|
11.53%
|
31. Okt. 2024
|
N
|
USD |
LU0897674072 |
20820028 |
396,80
|
11.36%
|
31. Okt. 2024
|
Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
B
|
USD |
LU2167913123 |
54605274 |
124,62
|
10.45%
|
31. Okt. 2024
|
H (hedged)
|
CHF |
LU2227303174 |
56895693 |
108,57
|
6.34%
|
31. Okt. 2024
|
HN (hedged)
|
CHF |
LU2227303091 |
56895691 |
112,14
|
7.10%
|
31. Okt. 2024
|
I
|
EUR |
LU2386637255 |
113620222 |
118,00
|
13.19%
|
31. Okt. 2024
|
I
|
USD |
LU2167912745 |
54605248 |
129,32
|
11.24%
|
31. Okt. 2024
|
N
|
USD |
LU2167913040 |
54605266 |
129,09
|
11.20%
|
31. Okt. 2024
|
S
|
USD |
LU2167912828 |
54605264 |
134,01
|
12.00%
|
31. Okt. 2024
|
Thematische Aktien
Conviction Equities Boutique
Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
AG
|
USD |
LU2521693692 |
121027176 |
128,84
|
10.92%
|
31. Okt. 2024
|
B
|
USD |
LU2275723612 |
58996754 |
86,26
|
9.94%
|
31. Okt. 2024
|
G
|
USD |
LU2521693429 |
121027175 |
129,03
|
10.92%
|
31. Okt. 2024
|
H (hedged)
|
EUR |
LU2307552567 |
110153173 |
79,27
|
8.23%
|
31. Okt. 2024
|
H (hedged)
|
CHF |
LU2307553458 |
110153431 |
76,12
|
6.18%
|
31. Okt. 2024
|
HR (hedged)
|
CHF |
LU2275724347 |
59018487 |
79,60
|
7.42%
|
31. Okt. 2024
|
I
|
USD |
LU2275723703 |
58996755 |
88,94
|
10.79%
|
31. Okt. 2024
|
N
|
USD |
LU2275723885 |
58996756 |
143,43
|
10.70%
|
31. Okt. 2024
|
N
|
CHF |
LU2275723968 |
58996757 |
126,76
|
13.73%
|
31. Okt. 2024
|
N
|
EUR |
LU2275724008 |
59018438 |
175,00
|
12.63%
|
31. Okt. 2024
|
R
|
USD |
LU2275724180 |
59018481 |
103,31
|
11.22%
|
31. Okt. 2024
|
V
|
USD |
LU2275724420 |
59018499 |
158,20
|
10.72%
|
31. Okt. 2024
|
China Aktien
Conviction Equities Boutique
Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
A
|
USD |
LU2262959849 |
58471450 |
58,44
|
11.79%
|
4. Nov. 2024
|
AN
|
USD |
LU2262960425 |
58471451 |
60,13
|
12.61%
|
4. Nov. 2024
|
B
|
USD |
LU2262959922 |
58471453 |
59,68
|
11.78%
|
4. Nov. 2024
|
C
|
USD |
LU2262960003 |
58471455 |
58,47
|
11.22%
|
4. Nov. 2024
|
I
|
USD |
LU2262960185 |
58471459 |
61,58
|
12.66%
|
4. Nov. 2024
|
N
|
USD |
LU2262960342 |
58471461 |
61,50
|
12.62%
|
4. Nov. 2024
|
Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
AG
|
USD |
LU2206997491 |
56039036 |
84,01
|
3.83%
|
31. Okt. 2024
|
B
|
EUR |
LU2092419519 |
51463522 |
91,47
|
4.43%
|
31. Okt. 2024
|
B
|
USD |
LU2092418891 |
51463518 |
91,01
|
2.63%
|
31. Okt. 2024
|
I
|
USD |
LU2056571420 |
50879418 |
94,84
|
3.38%
|
31. Okt. 2024
|
S
|
USD |
LU2092418628 |
51463493 |
99,24
|
4.21%
|
31. Okt. 2024
|