| Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
|
G
|
EUR |
LU1743051887 |
39655579 |
191,93
|
11.87%
|
9. Sep 2026
|
|
G
|
CHF |
LU1955150930 |
46557301 |
165,87
|
13.03%
|
9. Sep 2026
|
|
I
|
EUR |
LU2455946587 |
117455825 |
169,25
|
11.78%
|
9. Sep 2026
|
|
ND
|
EUR |
LU2338358620 |
111351750 |
147,77
|
11.58%
|
9. Sep 2026
|
|
S
|
EUR |
LU2455946660 |
117455826 |
171,36
|
12.01%
|
9. Sep 2026
|
|
V
|
USD |
LU2088710053 |
51468455 |
191,66
|
10.84%
|
9. Sep 2026
|
|
VE1
|
CHF |
LU2146174714 |
53904142 |
213,98
|
13.10%
|
9. Sep 2026
|
| Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
|
G
|
USD |
LU1743052851 |
39655716 |
280,08
|
12.30%
|
9. Sep 2026
|
|
G
|
EUR |
LU1955151078 |
46557329 |
263,20
|
13.13%
|
9. Sep 2026
|
|
I
|
USD |
LU2455946314 |
117455823 |
165,98
|
12.19%
|
9. Sep 2026
|
|
ND
|
USD |
LU2338358893 |
111351762 |
174,55
|
11.99%
|
9. Sep 2026
|
|
S
|
USD |
LU2455946405 |
117455824 |
168,37
|
12.43%
|
9. Sep 2026
|
| Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
|
G
|
USD |
LU1743053230 |
39688534 |
230,52
|
15.87%
|
9. Sep 2026
|
|
N
|
CHF |
LU2024509973 |
48820900 |
179,56
|
17.96%
|
9. Sep 2026
|
|
N
|
EUR |
LU2127207558 |
52828672 |
241,70
|
16.65%
|
9. Sep 2026
|
|
N1
|
USD |
LU2127207632 |
52828694 |
255,20
|
15.68%
|
9. Sep 2026
|
|
ND
|
USD |
LU2338358547 |
111351675 |
156,22
|
15.68%
|
9. Sep 2026
|
|
S
|
USD |
LU3261863172 |
151939583 |
110,63
|
-
|
9. Sep 2026
|
| Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
|
I1
|
CHF |
LU0329631377 |
3535028 |
2.100,14
|
-17.20%
|
9. Sep 2026
|
|
I2
|
EUR |
LU0329631708 |
3535030 |
2.232,04
|
-18.12%
|
9. Sep 2026
|
|
I3
|
USD |
LU0969575645 |
22479883 |
2.599,87
|
-18.80%
|
9. Sep 2026
|
|
N1
|
CHF |
LU1769944791 |
40341180 |
2.024,66
|
-17.32%
|
9. Sep 2026
|
|
N2
|
EUR |
LU1769944874 |
40341212 |
2.151,89
|
-18.24%
|
9. Sep 2026
|
|
N3
|
USD |
LU1050446076 |
24064488 |
2.505,38
|
-18.92%
|
9. Sep 2026
|
|
P1
|
CHF |
LU0329630999 |
3535010 |
1.878,22
|
-17.55%
|
9. Sep 2026
|
|
P2
|
EUR |
LU0329630130 |
3535023 |
1.996,40
|
-18.46%
|
9. Sep 2026
|
|
P3
|
USD |
LU0969575561 |
22479642 |
2.324,59
|
-19.14%
|
9. Sep 2026
|
| Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
|
A
|
CHF |
LU3093356601 |
146087856 |
115,78
|
7.52%
|
9. Sep 2026
|
|
B
|
CHF |
LU3093356783 |
146087851 |
115,77
|
7.50%
|
9. Sep 2026
|
|
F
|
CHF |
LU1821895882 |
41981992 |
132,89
|
7.47%
|
9. Sep 2026
|
|
I
|
CHF |
LU3093356940 |
146088804 |
116,57
|
7.95%
|
9. Sep 2026
|
|
N
|
CHF |
LU3093356866 |
146088588 |
116,52
|
7.91%
|
9. Sep 2026
|
| Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
|
A
|
EUR |
LU3093357245 |
146046732 |
116,03
|
7.59%
|
9. Sep 2026
|
|
AI
|
EUR |
LU3093357914 |
146078767 |
116,80
|
8.02%
|
9. Sep 2026
|
|
B
|
EUR |
LU3093357328 |
146055109 |
116,02
|
7.59%
|
9. Sep 2026
|
|
C
|
EUR |
LU3093357674 |
146055130 |
115,53
|
7.32%
|
9. Sep 2026
|
|
F
|
EUR |
LU1821896260 |
41981996 |
149,85
|
7.58%
|
9. Sep 2026
|
|
I
|
EUR |
LU3093357831 |
146078765 |
116,78
|
8.01%
|
9. Sep 2026
|
|
N
|
EUR |
LU3093357757 |
146078758 |
116,75
|
7.99%
|
9. Sep 2026
|
| Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
|
A
|
USD |
LU3093358136 |
146078770 |
117,14
|
7.71%
|
9. Sep 2026
|
|
AI
|
USD |
LU3093358649 |
145899706 |
117,95
|
8.16%
|
9. Sep 2026
|
|
B
|
USD |
LU3093358219 |
146078771 |
117,10
|
7.70%
|
9. Sep 2026
|
|
C
|
USD |
LU3093358300 |
146078772 |
116,63
|
7.44%
|
9. Sep 2026
|
|
F
|
USD |
LU1569888719 |
35767553 |
1.853,00
|
7.69%
|
9. Sep 2026
|
|
I
|
USD |
LU3093358565 |
146078800 |
117,91
|
8.13%
|
9. Sep 2026
|
|
N
|
USD |
LU3093358482 |
146078787 |
117,90
|
8.14%
|
9. Sep 2026
|
| Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
|
A
|
EUR |
LU3093358995 |
146078842 |
107,63
|
2.37%
|
9. Sep 2026
|
|
AI
|
EUR |
LU3093359530 |
146055129 |
108,35
|
2.77%
|
9. Sep 2026
|
|
B
|
EUR |
LU3093359027 |
146049742 |
107,63
|
2.37%
|
9. Sep 2026
|
|
C
|
EUR |
LU3093359290 |
146050744 |
107,17
|
2.11%
|
9. Sep 2026
|
|
F
|
EUR |
LU1821894992 |
41769729 |
120,05
|
2.37%
|
9. Sep 2026
|
|
I
|
EUR |
LU3093359456 |
146054683 |
108,35
|
2.77%
|
9. Sep 2026
|
|
N
|
EUR |
LU3093359373 |
146050746 |
108,30
|
2.74%
|
9. Sep 2026
|
Schwellenländeranleihen
Fixed Income Boutique
| Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
|
AHN (hedged)
|
CHF |
LU3307980337 |
154241109 |
105,25
|
-
|
9. Sep 2026
|
|
B
|
USD |
LU1963342115 |
46852688 |
155,82
|
6.20%
|
9. Sep 2026
|
|
H (hedged)
|
EUR |
LU2812398050 |
134858297 |
126,95
|
4.87%
|
9. Sep 2026
|
|
H (hedged)
|
CHF |
LU2812398134 |
134894765 |
120,52
|
3.19%
|
9. Sep 2026
|
|
HI (hedged)
|
EUR |
LU1896847628 |
44276198 |
148,30
|
5.36%
|
9. Sep 2026
|
|
HI (hedged)
|
CHF |
LU1896847891 |
44276200 |
134,99
|
3.73%
|
9. Sep 2026
|
|
HN (hedged)
|
EUR |
LU3256131817 |
151770330 |
103,32
|
-
|
9. Sep 2026
|
|
HN (hedged)
|
CHF |
LU3298924500 |
153639895 |
103,59
|
-
|
9. Sep 2026
|
|
HS (hedged)
|
CHF |
LU1896848279 |
44276223 |
142,69
|
4.05%
|
9. Sep 2026
|
|
I
|
USD |
LU1256229680 |
28772028 |
241,35
|
6.68%
|
9. Sep 2026
|
|
N
|
USD |
LU3298924419 |
153639892 |
105,53
|
-
|
9. Sep 2026
|
|
PHI (partially hedged)
|
CHF |
LU3315889629 |
154377015 |
103,27
|
-
|
9. Sep 2026
|
Schwellenländeranleihen
Fixed Income Boutique
| Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
|
A
|
USD |
LU2033400107 |
49240328 |
78,59
|
3.89%
|
9. Sep 2026
|
|
AHN (hedged)
|
CHF |
LU2269200726 |
58734739 |
66,05
|
1.44%
|
9. Sep 2026
|
|
AQN
|
USD |
LU1914926925 |
44988752 |
80,20
|
4.27%
|
9. Sep 2026
|
|
B
|
USD |
LU1750111707 |
39897195 |
122,32
|
3.89%
|
9. Sep 2026
|
|
H (hedged)
|
CHF |
LU1944396107 |
46159087 |
86,06
|
1.07%
|
9. Sep 2026
|
|
H (hedged)
|
EUR |
LU1944396289 |
46161608 |
100,02
|
2.69%
|
9. Sep 2026
|
|
HI (hedged)
|
EUR |
LU1750111533 |
39898221 |
107,49
|
3.01%
|
9. Sep 2026
|
|
HI (hedged)
|
CHF |
LU1923148958 |
45490215 |
101,64
|
1.50%
|
9. Sep 2026
|
|
HN (hedged)
|
EUR |
LU2171257319 |
54605329 |
121,23
|
3.01%
|
9. Sep 2026
|
|
HN (hedged)
|
CHF |
LU2269200999 |
58734740 |
88,74
|
1.44%
|
9. Sep 2026
|
|
I
|
USD |
LU1305089796 |
30034517 |
186,19
|
4.30%
|
9. Sep 2026
|
|
N
|
USD |
LU1750111616 |
39897174 |
128,15
|
4.27%
|
9. Sep 2026
|
|
S
|
USD |
LU2046631813 |
49663051 |
121,59
|
4.74%
|
9. Sep 2026
|
Schwellenländeranleihen
Fixed Income Boutique
| Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
|
AH (hedged)
|
EUR |
LU1482064224 |
33739112 |
74,28
|
2.68%
|
9. Sep 2026
|
|
AHG (hedged)
|
CHF |
LU2550873801 |
122760203 |
124,88
|
1.59%
|
9. Sep 2026
|
|
AHI (hedged)
|
CHF |
LU1572142336 |
35836655 |
71,41
|
1.43%
|
9. Sep 2026
|
|
AHN (hedged)
|
CHF |
LU2269201294 |
58734742 |
80,13
|
1.40%
|
9. Sep 2026
|
|
AHN (hedged)
|
EUR |
LU1684196279 |
38261507 |
76,03
|
3.06%
|
9. Sep 2026
|
|
AI
|
USD |
LU1572142179 |
35836541 |
94,69
|
4.34%
|
9. Sep 2026
|
|
AI
|
EUR |
LU1086766554 |
24882764 |
114,91
|
5.23%
|
9. Sep 2026
|
|
AQHNG (hedged)
|
GBP |
LU1991126357 |
47944862 |
89,55
|
4.42%
|
9. Sep 2026
|
|
B
|
USD |
LU0926439562 |
21343505 |
169,15
|
3.93%
|
9. Sep 2026
|
|
G
|
USD |
LU2122467942 |
52593040 |
127,88
|
4.50%
|
9. Sep 2026
|
|
H (hedged)
|
CHF |
LU0926440065 |
21343526 |
118,38
|
1.02%
|
9. Sep 2026
|
|
H (hedged)
|
EUR |
LU0926439992 |
21343509 |
133,56
|
2.68%
|
9. Sep 2026
|
|
HG (hedged)
|
EUR |
LU2086836165 |
51279663 |
117,17
|
3.22%
|
9. Sep 2026
|
|
HG (hedged)
|
CHF |
LU2514512818 |
120841481 |
137,10
|
1.55%
|
9. Sep 2026
|
|
HG (hedged)
|
GBP |
LU2550873983 |
122733844 |
162,44
|
4.46%
|
9. Sep 2026
|
|
HI (hedged)
|
EUR |
LU0926440222 |
21343536 |
143,88
|
3.08%
|
9. Sep 2026
|
|
HI (hedged)
|
CHF |
LU0926440495 |
21343537 |
127,24
|
1.43%
|
9. Sep 2026
|
|
HI (hedged)
|
GBP |
LU1700373241 |
38689213 |
129,44
|
4.34%
|
9. Sep 2026
|
|
HN (hedged)
|
CHF |
LU1683481938 |
38261772 |
103,73
|
1.38%
|
9. Sep 2026
|
|
HN (hedged)
|
EUR |
LU1683488438 |
38261771 |
114,47
|
3.07%
|
9. Sep 2026
|
|
HNG (hedged)
|
CHF |
LU2447966644 |
116912327 |
120,96
|
1.55%
|
9. Sep 2026
|
|
HS (hedged)
|
CHF |
LU1627767111 |
37026687 |
113,30
|
1.81%
|
9. Sep 2026
|
|
I
|
USD |
LU0926439729 |
21343507 |
182,61
|
4.35%
|
9. Sep 2026
|
|
N
|
USD |
LU0926439646 |
21343506 |
181,38
|
4.32%
|
9. Sep 2026
|
|
S
|
USD |
LU1171709691 |
26738515 |
196,01
|
4.79%
|
9. Sep 2026
|
| Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
|
B
|
USD |
LU3446492608 |
158835315 |
-
|
-
|
-
|
|
E
|
USD |
LU3446493911 |
158841618 |
-
|
-
|
-
|
|
G
|
USD |
LU3446491469 |
158820088 |
-
|
-
|
-
|
|
H (hedged)
|
CHF |
LU3446493085 |
158842175 |
-
|
-
|
-
|
|
H (hedged)
|
EUR |
LU3446492780 |
158842170 |
-
|
-
|
-
|
|
HE (hedged)
|
CHF |
LU3446494307 |
158820069 |
-
|
-
|
-
|
|
HE (hedged)
|
EUR |
LU3446494059 |
158841619 |
-
|
-
|
-
|
|
HG (hedged)
|
CHF |
LU3446492194 |
158820027 |
-
|
-
|
-
|
|
HG (hedged)
|
EUR |
LU3446492277 |
158833925 |
-
|
-
|
-
|
|
HI (hedged)
|
CHF |
LU3446492517 |
158835312 |
-
|
-
|
-
|
|
HI (hedged)
|
EUR |
LU3446491626 |
158820109 |
-
|
-
|
-
|
|
HN (hedged)
|
CHF |
LU3446493168 |
158842177 |
-
|
-
|
-
|
|
HN (hedged)
|
EUR |
LU3446493242 |
158840538 |
-
|
-
|
-
|
|
HS (hedged)
|
CHF |
LU3446492434 |
158835258 |
-
|
-
|
-
|
|
I
|
USD |
LU3446491543 |
158820104 |
-
|
-
|
-
|
|
N
|
USD |
LU3446492947 |
158842174 |
-
|
-
|
-
|
|
S
|
USD |
LU3446492350 |
158833933 |
-
|
-
|
-
|
Schwellenländeraktien
Quality Growth Boutique
| Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
|
A
|
USD |
LU0040506734 |
618762 |
834,81
|
24.58%
|
9. Sep 2026
|
|
AHI (hedged)
|
EUR |
LU0858753618 |
20093377 |
119,61
|
23.68%
|
9. Sep 2026
|
|
AN
|
USD |
LU1233654372 |
28256244 |
143,63
|
25.52%
|
9. Sep 2026
|
|
B
|
USD |
LU0040507039 |
618763 |
1.039,92
|
24.58%
|
9. Sep 2026
|
|
C
|
USD |
LU0137006218 |
1301503 |
261,63
|
24.07%
|
9. Sep 2026
|
|
H (hedged)
|
EUR |
LU0218912235 |
2143009 |
225,10
|
22.91%
|
9. Sep 2026
|
|
H (hedged)
|
CHF |
LU0469618119 |
10765166 |
107,03
|
20.95%
|
9. Sep 2026
|
|
HC (hedged)
|
EUR |
LU0333249109 |
3813691 |
194,08
|
22.40%
|
9. Sep 2026
|
|
HI (hedged)
|
CHF |
LU0469618382 |
10765176 |
140,18
|
21.68%
|
9. Sep 2026
|
|
HI (hedged)
|
EUR |
LU0368556220 |
4289807 |
159,79
|
23.70%
|
9. Sep 2026
|
|
HN (hedged)
|
CHF |
LU1683486069 |
38261775 |
104,05
|
21.87%
|
9. Sep 2026
|
|
HN (hedged)
|
EUR |
LU1179463556 |
26913860 |
128,39
|
23.71%
|
9. Sep 2026
|
|
I
|
GBP |
LU0787641983 |
18667507 |
220,23
|
24.47%
|
9. Sep 2026
|
|
I
|
USD |
LU0278093082 |
2870698 |
282,26
|
25.51%
|
9. Sep 2026
|
|
N
|
USD |
LU0858753535 |
20093248 |
168,68
|
25.52%
|
9. Sep 2026
|
Schwellenländeranleihen
Fixed Income Boutique
| Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
|
A
|
USD |
LU2424536469 |
115597133 |
126,59
|
-0.23%
|
9. Sep 2026
|
|
AI
|
USD |
LU2424537863 |
115599406 |
129,37
|
0.16%
|
9. Sep 2026
|
|
B
|
USD |
LU2424537780 |
115597199 |
126,17
|
-0.24%
|
9. Sep 2026
|
|
E
|
USD |
LU2400444712 |
114332750 |
130,84
|
0.36%
|
9. Sep 2026
|
|
H (hedged)
|
CHF |
LU2424537608 |
115597193 |
105,47
|
-3.08%
|
9. Sep 2026
|
|
H (hedged)
|
EUR |
LU2424538325 |
115599466 |
115,41
|
-1.43%
|
9. Sep 2026
|
|
HE (hedged)
|
CHF |
LU2424537517 |
115597184 |
109,81
|
-2.38%
|
9. Sep 2026
|
|
HI (hedged)
|
CHF |
LU2424537277 |
115597170 |
108,15
|
-2.64%
|
9. Sep 2026
|
|
HI (hedged)
|
EUR |
LU2424536972 |
115597164 |
118,37
|
-1.04%
|
9. Sep 2026
|
|
HN (hedged)
|
CHF |
LU2424536626 |
115597138 |
108,27
|
-2.63%
|
9. Sep 2026
|
|
HN (hedged)
|
EUR |
LU2424536899 |
115597159 |
118,35
|
-1.00%
|
9. Sep 2026
|
|
I
|
USD |
LU2400051400 |
114332751 |
129,15
|
0.15%
|
9. Sep 2026
|
|
N
|
USD |
LU2424537434 |
115597178 |
129,28
|
0.14%
|
9. Sep 2026
|
Unternehmensanleihen
Fixed Income Boutique
| Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
|
A
|
EUR |
LU0153585566 |
1473224 |
98,33
|
-1.07%
|
9. Sep 2026
|
|
AI
|
EUR |
LU1258889689 |
28828731 |
93,72
|
-0.68%
|
9. Sep 2026
|
|
AN
|
EUR |
LU1683480963 |
38261789 |
85,92
|
-0.72%
|
9. Sep 2026
|
|
B
|
EUR |
LU0153585723 |
1473228 |
181,75
|
-1.07%
|
9. Sep 2026
|
|
C
|
EUR |
LU0153585996 |
1473231 |
216,73
|
-1.34%
|
9. Sep 2026
|
|
H (hedged)
|
CHF |
LU0863290267 |
20187732 |
109,18
|
-2.70%
|
9. Sep 2026
|
|
HI (hedged)
|
USD |
LU1054314221 |
24129336 |
152,62
|
0.45%
|
9. Sep 2026
|
|
HI (hedged)
|
CHF |
LU1047498362 |
23983081 |
110,12
|
-2.33%
|
9. Sep 2026
|
|
HN (hedged)
|
CHF |
LU1767066514 |
40236087 |
96,89
|
-2.37%
|
9. Sep 2026
|
|
HN (hedged)
|
GBP |
LU1092317624 |
25420414 |
135,50
|
0.44%
|
9. Sep 2026
|
|
I
|
EUR |
LU0278087860 |
2870622 |
176,88
|
-0.69%
|
9. Sep 2026
|
|
N
|
EUR |
LU1612361102 |
36720881 |
110,10
|
-0.71%
|
9. Sep 2026
|
Europäische Aktien
Quality Growth Boutique
| Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
|
A
|
EUR |
LU0153585053 |
1473234 |
384,47
|
4.11%
|
9. Sep 2026
|
|
AN
|
EUR |
LU1683482662 |
38261686 |
146,54
|
4.71%
|
9. Sep 2026
|
|
B
|
EUR |
LU0153585137 |
1473236 |
429,46
|
4.11%
|
9. Sep 2026
|
|
C
|
EUR |
LU0153585210 |
1473239 |
284,02
|
3.68%
|
9. Sep 2026
|
|
I
|
EUR |
LU0278085062 |
2870656 |
258,45
|
4.84%
|
9. Sep 2026
|
|
N
|
EUR |
LU1683480294 |
38261406 |
156,65
|
4.71%
|
9. Sep 2026
|
Europäische Aktien
Multi Asset Boutique
| Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
|
A
|
CHF |
LU2967769394 |
140909956 |
115,87
|
11.48%
|
9. Sep 2026
|
|
A
|
EUR |
LU2967769717 |
140898389 |
117,70
|
10.24%
|
9. Sep 2026
|
|
AH (hedged)
|
USD |
LU2967767265 |
140897795 |
118,50
|
11.60%
|
9. Sep 2026
|
|
AHN (hedged)
|
USD |
LU2967767851 |
140897462 |
119,06
|
11.91%
|
9. Sep 2026
|
|
AHN (hedged)
|
CHF |
LU3133812696 |
147227446 |
114,69
|
8.81%
|
9. Sep 2026
|
|
AI
|
EUR |
LU2967768156 |
140897809 |
118,29
|
10.60%
|
9. Sep 2026
|
|
AN
|
CHF |
LU2967769048 |
140910189 |
116,39
|
11.81%
|
9. Sep 2026
|
|
AN
|
EUR |
LU2967768669 |
140898852 |
118,22
|
10.57%
|
9. Sep 2026
|
|
AQHN (hedged) Gross
|
GBP |
LU2967769980 |
140897919 |
122,35
|
11.86%
|
9. Sep 2026
|
|
B
|
CHF |
LU2967769550 |
140908940 |
121,40
|
11.48%
|
9. Sep 2026
|
|
B
|
EUR |
LU2967767000 |
140897779 |
119,86
|
10.26%
|
9. Sep 2026
|
|
C
|
EUR |
LU2967769808 |
140897915 |
121,41
|
9.44%
|
9. Sep 2026
|
|
E
|
EUR |
LU2967768586 |
140898697 |
124,49
|
10.76%
|
9. Sep 2026
|
|
G
|
EUR |
LU3050700098 |
144031977 |
118,79
|
10.61%
|
9. Sep 2026
|
|
H (hedged)
|
USD |
LU2967767182 |
140897785 |
123,68
|
11.60%
|
9. Sep 2026
|
|
HC (hedged)
|
USD |
LU2967767422 |
140897843 |
121,79
|
10.82%
|
9. Sep 2026
|
|
HI (hedged)
|
USD |
LU2967766960 |
140897776 |
124,47
|
11.90%
|
9. Sep 2026
|
|
HN (hedged)
|
USD |
LU2967767778 |
140897887 |
124,44
|
11.93%
|
9. Sep 2026
|
|
HN (hedged)
|
CHF |
LU3133812340 |
147227439 |
114,72
|
8.81%
|
9. Sep 2026
|
|
I
|
EUR |
LU2967766705 |
140897770 |
120,66
|
10.60%
|
9. Sep 2026
|
|
N
|
EUR |
LU2967767695 |
140897883 |
120,56
|
10.56%
|
9. Sep 2026
|
|
N
|
CHF |
LU2967768826 |
140910740 |
122,09
|
11.81%
|
9. Sep 2026
|
|
S
|
EUR |
LU2967768404 |
140898437 |
124,92
|
10.95%
|
9. Sep 2026
|
Flexible Anleihen
Fixed Income Boutique
| Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
|
A
|
EUR |
LU1112750762 |
25475948 |
76,23
|
-0.44%
|
9. Sep 2026
|
|
AH (hedged)
|
USD |
LU0035744662 |
607577 |
97,39
|
0.70%
|
9. Sep 2026
|
|
AH (hedged)
|
CHF |
LU2702256913 |
130097542 |
100,48
|
-1.93%
|
9. Sep 2026
|
|
AHN (hedged)
|
CHF |
LU2702256830 |
130097543 |
104,59
|
-1.70%
|
9. Sep 2026
|
|
AM
|
USD |
LU2702256756 |
130097541 |
109,69
|
-1.54%
|
9. Sep 2026
|
|
AN
|
EUR |
LU1683486226 |
38261518 |
79,11
|
-0.16%
|
9. Sep 2026
|
|
B
|
EUR |
LU1112750929 |
25475952 |
108,76
|
-0.44%
|
9. Sep 2026
|
|
C
|
EUR |
LU1482063846 |
33739176 |
95,77
|
-0.72%
|
9. Sep 2026
|
|
H (hedged)
|
USD |
LU0035745552 |
607576 |
381,84
|
0.70%
|
9. Sep 2026
|
|
H (hedged)
|
CHF |
LU1181655199 |
26970248 |
93,11
|
-2.08%
|
9. Sep 2026
|
|
HI (hedged)
|
CHF |
LU2269201021 |
58734741 |
83,58
|
-1.72%
|
9. Sep 2026
|
|
HI (hedged)
|
USD |
LU0278091383 |
2870591 |
173,43
|
0.77%
|
9. Sep 2026
|
|
HN (hedged)
|
CHF |
LU1683482159 |
38261520 |
92,47
|
-1.79%
|
9. Sep 2026
|
|
HN (hedged)
|
USD |
LU1683482076 |
38261535 |
121,19
|
0.73%
|
9. Sep 2026
|
|
HS (hedged)
|
CHF |
LU3097912235 |
146044574 |
98,90
|
-1.56%
|
9. Sep 2026
|
|
I
|
EUR |
LU1112751067 |
25475955 |
113,44
|
-0.14%
|
9. Sep 2026
|
|
N
|
EUR |
LU1612360716 |
36720874 |
103,63
|
-0.37%
|
9. Sep 2026
|
Unternehmensanleihen
Fixed Income Boutique
| Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
|
A
|
USD |
LU1395536086 |
32261678 |
102,43
|
-0.58%
|
9. Sep 2026
|
|
AH (hedged)
|
EUR |
LU1395536243 |
32261681 |
83,08
|
-1.74%
|
9. Sep 2026
|
|
AH (hedged)
|
CHF |
LU1395536169 |
32261679 |
74,67
|
-3.31%
|
9. Sep 2026
|
|
AHG (hedged)
|
CHF |
LU2550874015 |
122733854 |
92,82
|
-3.00%
|
9. Sep 2026
|
|
AHN (hedged)
|
EUR |
LU1683488271 |
38261459 |
83,47
|
-1.39%
|
9. Sep 2026
|
|
AHN (hedged)
|
CHF |
LU1683488198 |
38261452 |
74,17
|
-2.97%
|
9. Sep 2026
|
|
AN
|
USD |
LU1683487976 |
38261426 |
101,90
|
-0.23%
|
9. Sep 2026
|
|
B
|
USD |
LU1395536599 |
32261688 |
128,15
|
-0.58%
|
9. Sep 2026
|
|
G
|
USD |
LU1309987045 |
30148170 |
143,41
|
-0.18%
|
9. Sep 2026
|
|
H (hedged)
|
CHF |
LU2269201377 |
58734765 |
81,15
|
-3.31%
|
9. Sep 2026
|
|
H (hedged)
|
AUD |
LU3339809082 |
155508000 |
100,26
|
-
|
9. Sep 2026
|
|
H (hedged)
|
EUR |
LU1395536755 |
32261832 |
104,31
|
-1.73%
|
9. Sep 2026
|
|
HG (hedged)
|
EUR |
LU1291112750 |
29636452 |
115,97
|
-1.36%
|
9. Sep 2026
|
|
HG (hedged)
|
CHF |
LU1831168353 |
42001407 |
98,89
|
-2.91%
|
9. Sep 2026
|
|
HI (hedged)
|
CHF |
LU1395536912 |
32261844 |
99,22
|
-2.99%
|
9. Sep 2026
|
|
HN (hedged)
|
CHF |
LU2269201450 |
58734766 |
84,11
|
-2.98%
|
9. Sep 2026
|
|
HN (hedged)
|
AUD |
LU3339809165 |
155507987 |
100,41
|
-
|
9. Sep 2026
|
|
HN (hedged)
|
EUR |
LU1734078667 |
39472008 |
104,31
|
-1.37%
|
9. Sep 2026
|
|
HNG (hedged)
|
CHF |
LU3247647806 |
151598497 |
97,02
|
-
|
9. Sep 2026
|
|
HS (hedged)
|
CHF |
LU2398925581 |
112092387 |
86,55
|
-2.75%
|
9. Sep 2026
|
|
I
|
USD |
LU1395537134 |
32261851 |
136,73
|
-0.22%
|
9. Sep 2026
|
|
N
|
USD |
LU1683487893 |
38261408 |
126,27
|
-0.23%
|
9. Sep 2026
|
Globale Aktien
Quality Growth Boutique
| Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
|
A
|
USD |
LU0218910023 |
2140205 |
432,04
|
-5.30%
|
9. Sep 2026
|
|
AHG (hedged)
|
CHF |
LU2662990873 |
128790782 |
104,33
|
-7.24%
|
9. Sep 2026
|
|
AI
|
EUR |
LU1121575069 |
25693957 |
274,26
|
-3.84%
|
9. Sep 2026
|
|
AN
|
USD |
LU1683485921 |
38261765 |
182,01
|
-4.76%
|
9. Sep 2026
|
|
B
|
SEK |
LU0979498168 |
22522410 |
368,00
|
-1.61%
|
9. Sep 2026
|
|
B
|
USD |
LU0218910536 |
2140207 |
451,25
|
-5.30%
|
9. Sep 2026
|
|
C
|
USD |
LU0218910965 |
2140211 |
407,55
|
-5.69%
|
9. Sep 2026
|
|
G
|
USD |
LU1489322047 |
33901045 |
229,57
|
-4.49%
|
9. Sep 2026
|
|
H (hedged)
|
SEK |
LU0971939599 |
22340335 |
193,74
|
-6.88%
|
9. Sep 2026
|
|
H (hedged)
|
EUR |
LU0218911690 |
2140210 |
197,35
|
-6.54%
|
9. Sep 2026
|
|
HC (hedged)
|
EUR |
LU0333249364 |
3813702 |
312,32
|
-6.92%
|
9. Sep 2026
|
|
HI (hedged)
|
CHF |
LU2243976318 |
57644342 |
107,13
|
-7.38%
|
9. Sep 2026
|
|
HI (hedged)
|
EUR |
LU0368555768 |
4289761 |
248,49
|
-5.90%
|
9. Sep 2026
|
|
HN (hedged)
|
CHF |
LU2277595851 |
58993771 |
98,27
|
-7.53%
|
9. Sep 2026
|
|
HN (hedged)
|
EUR |
LU1550202458 |
35324119 |
173,92
|
-6.00%
|
9. Sep 2026
|
|
I
|
GBP |
LU0824095136 |
19381737 |
379,07
|
-5.43%
|
9. Sep 2026
|
|
I
|
USD |
LU0278093595 |
2870708 |
375,78
|
-4.64%
|
9. Sep 2026
|
|
N
|
USD |
LU0858753451 |
20093228 |
305,20
|
-4.76%
|
9. Sep 2026
|
Globale Aktien
Quality Growth Boutique
| Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
|
A Gross
|
USD |
LU0129603287 |
1222584 |
313,64
|
11.08%
|
9. Sep 2026
|
|
AQ Gross
|
USD |
LU1651442953 |
37575134 |
158,83
|
11.09%
|
9. Sep 2026
|
|
B
|
USD |
LU0129603360 |
1222595 |
458,32
|
11.08%
|
9. Sep 2026
|
|
H (hedged)
|
EUR |
LU0219097184 |
2143917 |
198,14
|
9.56%
|
9. Sep 2026
|
|
HI (hedged)
|
EUR |
LU0368556063 |
4289795 |
176,07
|
10.20%
|
9. Sep 2026
|
|
I
|
USD |
LU0278093322 |
2870705 |
234,55
|
11.74%
|
9. Sep 2026
|
|
N
|
USD |
LU1683481771 |
38261773 |
189,33
|
11.69%
|
9. Sep 2026
|
Aktien des Raums Asien
Conviction Equities Boutique
| Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
|
A
|
USD |
LU0384409180 |
4514032 |
603,62
|
27.79%
|
9. Sep 2026
|
|
AG
|
USD |
LU3191232290 |
149056693 |
133,05
|
28.89%
|
9. Sep 2026
|
|
AN
|
USD |
LU1683484361 |
38261477 |
175,26
|
28.52%
|
9. Sep 2026
|
|
B
|
USD |
LU0384409263 |
4514037 |
655,94
|
27.79%
|
9. Sep 2026
|
|
C
|
USD |
LU3012648104 |
142753769 |
184,82
|
27.26%
|
9. Sep 2026
|
|
G
|
USD |
LU1859547652 |
42878549 |
196,40
|
28.89%
|
9. Sep 2026
|
|
H (hedged)
|
EUR |
LU0384409693 |
4514046 |
506,46
|
26.27%
|
9. Sep 2026
|
|
HI (hedged)
|
EUR |
LU0384409933 |
4514053 |
586,03
|
27.01%
|
9. Sep 2026
|
|
HN (hedged)
|
CHF |
LU2621354468 |
126902053 |
171,90
|
25.00%
|
9. Sep 2026
|
|
HN (hedged)
|
EUR |
LU1683482589 |
38261481 |
156,71
|
26.97%
|
9. Sep 2026
|
|
I
|
USD |
LU0384410279 |
4514057 |
766,05
|
28.55%
|
9. Sep 2026
|
|
N
|
USD |
LU1683484445 |
38261488 |
190,85
|
28.52%
|
9. Sep 2026
|
|
N
|
GBP |
LU2019989305 |
48633832 |
183,30
|
27.62%
|
9. Sep 2026
|
|
S
|
USD |
LU2146184358 |
53721716 |
218,28
|
29.40%
|
9. Sep 2026
|
Schwellenländeraktien
Conviction Equities Boutique
| Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
|
A
|
USD |
LU0571085330 |
12236105 |
225,50
|
27.50%
|
9. Sep 2026
|
|
AG
|
USD |
LU1993004743 |
47781596 |
162,37
|
28.63%
|
9. Sep 2026
|
|
AH (hedged)
|
EUR |
LU1725744087 |
39290530 |
127,52
|
25.75%
|
9. Sep 2026
|
|
AI
|
USD |
LU1609308298 |
36643668 |
193,17
|
28.26%
|
9. Sep 2026
|
|
AN
|
USD |
LU1683485681 |
38261784 |
160,21
|
28.23%
|
9. Sep 2026
|
|
AN
|
GBP |
LU1717118191 |
39078906 |
152,11
|
27.34%
|
9. Sep 2026
|
|
B
|
USD |
LU0571085413 |
12236106 |
252,16
|
27.50%
|
9. Sep 2026
|
|
G
|
USD |
LU1767066605 |
40236190 |
170,40
|
28.63%
|
9. Sep 2026
|
|
H (hedged)
|
EUR |
LU1646585114 |
37470435 |
150,06
|
25.76%
|
9. Sep 2026
|
|
HI (hedged)
|
EUR |
LU1650589762 |
37574631 |
157,83
|
26.51%
|
9. Sep 2026
|
|
HI (hedged)
|
CHF |
LU1550202615 |
35324235 |
170,18
|
24.77%
|
9. Sep 2026
|
|
HN (hedged)
|
EUR |
LU1936213682 |
45874243 |
160,15
|
26.47%
|
9. Sep 2026
|
|
HN (hedged)
|
CHF |
LU1725744830 |
39290546 |
132,65
|
24.62%
|
9. Sep 2026
|
|
I
|
USD |
LU0571085686 |
12236113 |
287,54
|
28.26%
|
9. Sep 2026
|
|
I
|
EUR |
LU1626216888 |
37012594 |
205,57
|
29.34%
|
9. Sep 2026
|
|
N
|
USD |
LU1626216961 |
37012602 |
213,07
|
28.23%
|
9. Sep 2026
|
|
N
|
GBP |
LU1618348582 |
36844873 |
204,76
|
27.35%
|
9. Sep 2026
|
|
N
|
EUR |
LU1918004273 |
45186126 |
201,61
|
29.30%
|
9. Sep 2026
|
|
S
|
USD |
LU1572142096 |
35836106 |
255,89
|
29.11%
|
9. Sep 2026
|
| Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
|
E
|
USD |
LU2601939882 |
127545396 |
220,31
|
39.88%
|
9. Sep 2026
|
|
HN (hedged)
|
CHF |
LU2777474995 |
133319970 |
173,31
|
35.50%
|
9. Sep 2026
|
|
I
|
USD |
LU2601939379 |
127545380 |
217,71
|
39.49%
|
9. Sep 2026
|
|
N
|
GBP |
LU2644752524 |
128483825 |
198,74
|
38.30%
|
9. Sep 2026
|
|
N
|
EUR |
LU2601939536 |
127545388 |
199,98
|
40.61%
|
9. Sep 2026
|
|
N
|
CHF |
LU2711871066 |
130583523 |
193,30
|
42.20%
|
9. Sep 2026
|
|
N
|
USD |
LU2711870928 |
130583511 |
210,22
|
39.44%
|
9. Sep 2026
|
|
S
|
USD |
LU2601939452 |
127545393 |
222,95
|
40.28%
|
9. Sep 2026
|
Cautious Allocation
Multi Asset Boutique
| Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
|
B
|
EUR |
LU1700372789 |
38856478 |
108,14
|
1.64%
|
9. Sep 2026
|
|
C
|
EUR |
LU1737595923 |
39592808 |
148,45
|
1.48%
|
9. Sep 2026
|
|
H (hedged)
|
USD |
LU1767066944 |
40241950 |
121,65
|
2.78%
|
9. Sep 2026
|
|
H (hedged)
|
CHF |
LU1767066860 |
40241927 |
88,33
|
-0.01%
|
9. Sep 2026
|
|
HI (hedged)
|
CHF |
LU1767067082 |
40241958 |
100,64
|
0.27%
|
9. Sep 2026
|
|
HI (hedged)
|
USD |
LU1767067165 |
40241961 |
128,05
|
3.04%
|
9. Sep 2026
|
|
I
|
EUR |
LU1700372946 |
38856852 |
111,55
|
1.91%
|
9. Sep 2026
|
Cautious Allocation
Multi Asset Boutique
| Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
|
B
|
EUR |
LU1481720644 |
33721371 |
124,32
|
2.70%
|
9. Sep 2026
|
|
C
|
EUR |
LU1481721022 |
33721376 |
117,98
|
2.28%
|
9. Sep 2026
|
Schwellenländeranleihen
Fixed Income Boutique
| Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
|
A
|
USD |
LU2145397134 |
53629963 |
98,83
|
2.18%
|
9. Sep 2026
|
|
AI
|
USD |
LU2145396169 |
53679372 |
108,57
|
2.60%
|
9. Sep 2026
|
|
B
|
USD |
LU2145397050 |
53629959 |
121,06
|
2.18%
|
9. Sep 2026
|
|
E
|
USD |
LU2145396912 |
53681652 |
128,78
|
2.94%
|
9. Sep 2026
|
|
H (hedged)
|
EUR |
LU2145397308 |
53629968 |
108,01
|
0.94%
|
9. Sep 2026
|
|
H (hedged)
|
CHF |
LU2145397217 |
53629966 |
98,52
|
-0.68%
|
9. Sep 2026
|
|
HE (hedged)
|
CHF |
LU2145396755 |
53679630 |
104,87
|
-
|
9. Sep 2026
|
|
HG (hedged)
|
CHF |
LU2145396672 |
53679612 |
122,51
|
-0.15%
|
9. Sep 2026
|
|
HG (hedged)
|
EUR |
LU2550873710 |
122760202 |
133,65
|
1.50%
|
9. Sep 2026
|
|
HI (hedged)
|
EUR |
LU2145396326 |
53679582 |
111,80
|
1.33%
|
9. Sep 2026
|
|
HI (hedged)
|
CHF |
LU2145396243 |
53679580 |
102,07
|
-0.26%
|
9. Sep 2026
|
|
HN (hedged)
|
EUR |
LU2145397647 |
53671304 |
111,55
|
1.31%
|
9. Sep 2026
|
|
HN (hedged)
|
CHF |
LU2406599998 |
114662413 |
92,57
|
-0.30%
|
9. Sep 2026
|
|
HX (hedged)
|
CHF |
LU2549539034 |
122655782 |
123,97
|
-0.02%
|
9. Sep 2026
|
|
HX (hedged)
|
EUR |
LU2549539117 |
122655784 |
135,19
|
1.65%
|
9. Sep 2026
|
|
I
|
USD |
LU2145396086 |
53671344 |
125,30
|
2.60%
|
9. Sep 2026
|
|
N
|
USD |
LU2145397563 |
53629969 |
125,01
|
2.58%
|
9. Sep 2026
|
| Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
|
A
|
USD |
LU0563307551 |
12061798 |
55,64
|
3.57%
|
9. Sep 2026
|
|
AM
|
USD |
LU0563307635 |
12061799 |
44,24
|
3.28%
|
9. Sep 2026
|
|
AN
|
USD |
LU1683487208 |
38261516 |
84,61
|
4.01%
|
9. Sep 2026
|
|
B
|
CHF |
LU0752070267 |
18059927 |
98,67
|
5.60%
|
9. Sep 2026
|
|
B
|
EUR |
LU0752071745 |
18059822 |
126,45
|
4.43%
|
9. Sep 2026
|
|
B
|
USD |
LU0563307718 |
12061801 |
118,09
|
3.56%
|
9. Sep 2026
|
|
C
|
USD |
LU0563307809 |
12061803 |
166,40
|
3.28%
|
9. Sep 2026
|
|
G
|
USD |
LU2550874106 |
122733954 |
144,93
|
4.15%
|
9. Sep 2026
|
|
H (hedged)
|
CHF |
LU0563308369 |
12061825 |
77,93
|
0.48%
|
9. Sep 2026
|
|
H (hedged)
|
EUR |
LU0563308443 |
12061827 |
90,19
|
2.16%
|
9. Sep 2026
|
|
HI (hedged)
|
CHF |
LU0563308799 |
12061834 |
86,17
|
1.01%
|
9. Sep 2026
|
|
HI (hedged)
|
EUR |
LU0563308872 |
12061836 |
95,22
|
2.62%
|
9. Sep 2026
|
|
HN (hedged)
|
CHF |
LU1683483470 |
38261533 |
94,65
|
0.99%
|
9. Sep 2026
|
|
HN (hedged)
|
EUR |
LU1683487380 |
38261546 |
104,87
|
2.58%
|
9. Sep 2026
|
|
I
|
USD |
LU0563307981 |
12061804 |
130,66
|
4.04%
|
9. Sep 2026
|
|
N
|
USD |
LU1683483124 |
38261758 |
128,74
|
4.01%
|
9. Sep 2026
|
Schweizer Anleihen
Fixed Income Boutique
| Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
|
A
|
CHF |
LU0035736726 |
607579 |
118,18
|
-0.17%
|
9. Sep 2026
|
|
AI
|
CHF |
LU1331778172 |
30670268 |
93,44
|
0.05%
|
9. Sep 2026
|
|
AN
|
CHF |
LU1683487463 |
38261780 |
95,77
|
0.02%
|
9. Sep 2026
|
|
B
|
CHF |
LU0035738771 |
607578 |
234,09
|
-0.17%
|
9. Sep 2026
|
|
C
|
CHF |
LU0137003116 |
1301495 |
179,05
|
-0.45%
|
9. Sep 2026
|
|
G
|
CHF |
LU1206762293 |
27539927 |
101,55
|
0.12%
|
9. Sep 2026
|
|
I
|
CHF |
LU0278084768 |
2870530 |
135,12
|
0.05%
|
9. Sep 2026
|
|
N
|
CHF |
LU1683481425 |
38261782 |
99,30
|
0.02%
|
9. Sep 2026
|
Thematische Aktien
Conviction Equities Boutique
| Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
|
A
|
CHF |
LU1407930194 |
32490974 |
195,99
|
22.95%
|
9. Sep 2026
|
|
A
|
EUR |
LU0384406087 |
4513028 |
331,87
|
21.59%
|
9. Sep 2026
|
|
AN
|
EUR |
LU1683485418 |
38261423 |
174,83
|
22.28%
|
9. Sep 2026
|
|
B
|
EUR |
LU0384406160 |
4513032 |
339,68
|
21.59%
|
9. Sep 2026
|
|
B
|
CHF |
LU1407930277 |
32492373 |
200,13
|
22.95%
|
9. Sep 2026
|
|
C
|
USD |
LU0571082402 |
12236050 |
203,56
|
20.09%
|
9. Sep 2026
|
|
C
|
EUR |
LU0384406244 |
4513037 |
304,46
|
21.09%
|
9. Sep 2026
|
|
H (hedged)
|
CHF |
LU0469623382 |
10766818 |
154,96
|
19.55%
|
9. Sep 2026
|
|
HN (hedged)
|
CHF |
LU1683485509 |
38261425 |
159,64
|
20.23%
|
9. Sep 2026
|
|
I
|
EUR |
LU0384406327 |
4513042 |
396,60
|
22.32%
|
9. Sep 2026
|
|
N
|
USD |
LU2269201534 |
58728800 |
155,64
|
21.26%
|
9. Sep 2026
|
|
N
|
EUR |
LU0952815594 |
21852692 |
203,00
|
22.28%
|
9. Sep 2026
|
| Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
|
AH (hedged)
|
CHF |
LU1380459195 |
31902604 |
71,58
|
-1.97%
|
9. Sep 2026
|
|
AH (hedged)
|
USD |
LU1380459351 |
31903201 |
97,07
|
0.80%
|
9. Sep 2026
|
|
AH (hedged)
|
EUR |
LU1380459278 |
31903191 |
80,02
|
-0.36%
|
9. Sep 2026
|
|
AH1 (hedged) Gross
|
USD |
LU2301284217 |
59953416 |
94,89
|
0.91%
|
9. Sep 2026
|
|
AHN (hedged)
|
EUR |
LU1683487620 |
38261757 |
79,38
|
-0.09%
|
9. Sep 2026
|
|
AHN (hedged)
|
CHF |
LU1734078154 |
39471995 |
73,34
|
-1.60%
|
9. Sep 2026
|
|
AI
|
GBP |
LU1267852249 |
29030549 |
88,16
|
1.12%
|
9. Sep 2026
|
|
AQHG (hedged)
|
USD |
LU1767065979 |
40241908 |
101,54
|
1.23%
|
9. Sep 2026
|
|
AQHN (hedged)
|
EUR |
LU1331789450 |
30670277 |
88,92
|
-0.09%
|
9. Sep 2026
|
|
AQHNG (hedged)
|
USD |
LU1410502493 |
32553207 |
103,59
|
1.12%
|
9. Sep 2026
|
|
AQN
|
GBP |
LU1331789377 |
30670273 |
105,28
|
1.11%
|
9. Sep 2026
|
|
AQNG
|
GBP |
LU1368730674 |
31599783 |
99,48
|
1.22%
|
9. Sep 2026
|
|
G
|
GBP |
LU1273680238 |
29168014 |
136,77
|
1.24%
|
9. Sep 2026
|
|
H (hedged)
|
CHF |
LU2270707222 |
58756779 |
93,24
|
-1.91%
|
9. Sep 2026
|
|
H (hedged)
|
EUR |
LU1551754432 |
35382042 |
106,47
|
-0.39%
|
9. Sep 2026
|
|
H1 (hedged)
|
USD |
LU2133069521 |
53065514 |
119,92
|
0.94%
|
9. Sep 2026
|
|
HG (hedged)
|
USD |
LU2419361634 |
115247249 |
115,63
|
1.19%
|
9. Sep 2026
|
|
HG (hedged)
|
CHF |
LU2419361550 |
115247246 |
96,94
|
-1.55%
|
9. Sep 2026
|
|
HG (hedged)
|
EUR |
LU1925065655 |
45492332 |
111,19
|
0.04%
|
9. Sep 2026
|
|
HI (hedged)
|
AUD |
LU2191833487 |
55433199 |
114,12
|
1.29%
|
9. Sep 2026
|
|
HI (hedged)
|
EUR |
LU1331789617 |
30671519 |
115,80
|
-0.06%
|
9. Sep 2026
|
|
HI (hedged)
|
CHF |
LU1599320444 |
36446926 |
98,85
|
-1.57%
|
9. Sep 2026
|
|
HN (hedged)
|
CHF |
LU2270707495 |
58756780 |
95,47
|
-1.62%
|
9. Sep 2026
|
|
HN (hedged)
|
USD |
LU1767066357 |
40236072 |
126,56
|
1.05%
|
9. Sep 2026
|
|
HN (hedged)
|
EUR |
LU1734078238 |
39472001 |
106,97
|
-0.08%
|
9. Sep 2026
|
|
I
|
GBP |
LU1267852082 |
29030420 |
134,80
|
1.13%
|
9. Sep 2026
|
|
N
|
GBP |
LU1267852595 |
29030838 |
134,21
|
1.11%
|
9. Sep 2026
|
| Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
|
A
|
EUR |
LU1882612564 |
43753862 |
94,83
|
1.96%
|
9. Sep 2026
|
|
G
|
EUR |
LU3043547986 |
143741411 |
105,39
|
2.47%
|
9. Sep 2026
|
|
HG (hedged)
|
CHF |
LU3043548018 |
143741425 |
102,16
|
0.81%
|
9. Sep 2026
|
|
HG (hedged)
|
USD |
LU3043548109 |
143741431 |
108,16
|
3.59%
|
9. Sep 2026
|
|
HI (hedged)
|
USD |
LU1602256700 |
36484869 |
143,98
|
3.51%
|
9. Sep 2026
|
|
HI (hedged)
|
CHF |
LU1602256296 |
36484864 |
108,91
|
0.72%
|
9. Sep 2026
|
|
HN (hedged)
|
CHF |
LU1882613299 |
43753894 |
107,68
|
0.68%
|
9. Sep 2026
|
|
HN (hedged)
|
GBP |
LU1882613372 |
43753896 |
131,56
|
3.50%
|
9. Sep 2026
|
|
I
|
EUR |
LU1602255561 |
36484858 |
122,00
|
2.35%
|
9. Sep 2026
|
|
N
|
EUR |
LU1882613026 |
43753879 |
119,46
|
2.32%
|
9. Sep 2026
|
| Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
|
A
|
EUR |
LU0120688915 |
1128470 |
75,85
|
-0.12%
|
9. Sep 2026
|
|
AN
|
EUR |
LU1683489758 |
38261465 |
89,13
|
0.07%
|
9. Sep 2026
|
|
B
|
EUR |
LU0120689640 |
1128471 |
142,36
|
-0.12%
|
9. Sep 2026
|
|
C
|
EUR |
LU0137009238 |
1301611 |
164,07
|
-0.27%
|
9. Sep 2026
|
|
E
|
EUR |
LU3254304275 |
151686308 |
99,99
|
-
|
9. Sep 2026
|
|
HE (hedged)
|
CHF |
LU3254304432 |
151713547 |
98,44
|
-
|
9. Sep 2026
|
|
HN (hedged)
|
CHF |
LU2459048190 |
117606286 |
100,12
|
-1.54%
|
9. Sep 2026
|
|
HNG (hedged)
|
CHF |
LU2061945882 |
50362736 |
97,85
|
-1.46%
|
9. Sep 2026
|
|
I
|
EUR |
LU0278091037 |
2870738 |
122,59
|
0.09%
|
9. Sep 2026
|
|
N
|
EUR |
LU1683481854 |
38261510 |
108,92
|
0.06%
|
9. Sep 2026
|
|
NG
|
EUR |
LU1650589689 |
37573522 |
110,17
|
0.15%
|
9. Sep 2026
|
| Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
|
AH (hedged)
|
CHF |
LU3435382430 |
158479665 |
99,81
|
-
|
9. Sep 2026
|
|
AHN (hedged)
|
EUR |
LU3418742030 |
157931214 |
99,86
|
-
|
9. Sep 2026
|
|
AHN (hedged)
|
CHF |
LU3418741909 |
157930967 |
99,82
|
-
|
9. Sep 2026
|
|
AHN (hedged)
|
USD |
LU3418742113 |
157888819 |
99,89
|
-
|
9. Sep 2026
|
|
AQG
|
GBP |
LU2549760085 |
122680202 |
104,14
|
1.85%
|
9. Sep 2026
|
|
AQHG (hedged)
|
USD |
LU2549759400 |
122678960 |
108,71
|
1.86%
|
9. Sep 2026
|
|
AQN
|
GBP |
LU2549760242 |
122677863 |
104,53
|
1.71%
|
9. Sep 2026
|
|
AQNG
|
GBP |
LU2549759749 |
122680200 |
103,09
|
1.82%
|
9. Sep 2026
|
|
H (hedged)
|
CHF |
LU2549759822 |
122680201 |
106,86
|
-1.40%
|
9. Sep 2026
|
|
H (hedged)
|
USD |
LU3435382356 |
158479053 |
99,88
|
-
|
9. Sep 2026
|
|
HI (hedged)
|
EUR |
LU2549761133 |
122677867 |
118,48
|
0.53%
|
9. Sep 2026
|
|
HI (hedged)
|
CHF |
LU2549758774 |
122680418 |
109,35
|
-1.00%
|
9. Sep 2026
|
|
HN (hedged)
|
CHF |
LU2549758691 |
122680416 |
109,20
|
-1.03%
|
9. Sep 2026
|
|
HN (hedged)
|
USD |
LU2549759079 |
122677952 |
127,35
|
1.86%
|
9. Sep 2026
|
|
HN (hedged)
|
EUR |
LU2549760911 |
122677865 |
118,23
|
0.53%
|
9. Sep 2026
|
|
HNG (hedged)
|
CHF |
LU3435382513 |
158483067 |
99,83
|
-
|
9. Sep 2026
|
|
HR (hedged)
|
CHF |
LU2549758428 |
122680414 |
110,48
|
-0.76%
|
9. Sep 2026
|
|
N
|
GBP |
LU2549760325 |
122677872 |
125,89
|
1.71%
|
9. Sep 2026
|
|
R
|
GBP |
LU2549761646 |
122677870 |
127,51
|
1.96%
|
9. Sep 2026
|
| Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
|
AH (hedged)
|
USD |
LU1380459609 |
31903318 |
106,71
|
0.80%
|
9. Sep 2026
|
|
AH (hedged)
|
CHF |
LU1380459435 |
31903272 |
79,70
|
-1.92%
|
9. Sep 2026
|
|
AH (hedged)
|
EUR |
LU1380459518 |
31903287 |
88,44
|
-0.36%
|
9. Sep 2026
|
|
AHI (hedged)
|
EUR |
LU1325139290 |
30515147 |
84,61
|
0.08%
|
9. Sep 2026
|
|
AHN (hedged)
|
CHF |
LU1683482407 |
38291774 |
76,06
|
-1.51%
|
9. Sep 2026
|
|
AHN (hedged)
|
EUR |
LU1734078311 |
39472004 |
81,92
|
0.06%
|
9. Sep 2026
|
|
AMH (hedged)
|
USD |
LU2219414112 |
56593356 |
86,91
|
0.83%
|
9. Sep 2026
|
|
AQ
|
GBP |
LU1695534591 |
38576552 |
92,35
|
0.84%
|
9. Sep 2026
|
|
AQG
|
GBP |
LU1322872018 |
30446345 |
95,39
|
1.39%
|
9. Sep 2026
|
|
AQH (hedged) Gross
|
USD |
LU1695534674 |
38576554 |
86,81
|
0.75%
|
9. Sep 2026
|
|
AQH (hedged) Gross
|
EUR |
LU1695534757 |
38576557 |
74,44
|
-0.35%
|
9. Sep 2026
|
|
AQH (hedged) Gross
|
SGD |
LU1695534914 |
38576564 |
78,06
|
-0.95%
|
9. Sep 2026
|
|
AQH (hedged) Gross
|
HKD |
LU1695534831 |
38576560 |
80,32
|
-0.15%
|
9. Sep 2026
|
|
AQH1 (hedged)
|
USD |
LU1683478801 |
38288751 |
96,45
|
0.55%
|
9. Sep 2026
|
|
AQHC1 (hedged)
|
USD |
LU1683479288 |
38291771 |
93,57
|
0.40%
|
9. Sep 2026
|
|
AQHG (hedged)
|
EUR |
LU1816229899 |
41604558 |
84,42
|
0.19%
|
9. Sep 2026
|
|
AQHG (hedged)
|
USD |
LU1816230046 |
41604564 |
98,67
|
1.34%
|
9. Sep 2026
|
|
AQHI (hedged)
|
USD |
LU1331792082 |
30671527 |
104,41
|
1.28%
|
9. Sep 2026
|
|
AQHN (hedged)
|
EUR |
LU1325135033 |
30514904 |
83,21
|
0.07%
|
9. Sep 2026
|
|
AQHNG (hedged)
|
EUR |
LU1325134226 |
30514898 |
83,31
|
0.17%
|
9. Sep 2026
|
|
AQHNG (hedged)
|
USD |
LU1451580523 |
33337877 |
103,78
|
1.35%
|
9. Sep 2026
|
|
AQN
|
GBP |
LU1322871630 |
30445597 |
95,68
|
1.26%
|
9. Sep 2026
|
|
AQNG
|
GBP |
LU1695534328 |
38576548 |
92,69
|
1.36%
|
9. Sep 2026
|
|
G
|
GBP |
LU1322871713 |
30445634 |
153,14
|
1.38%
|
9. Sep 2026
|
|
H (hedged)
|
CHF |
LU2270707065 |
58756767 |
94,05
|
-1.88%
|
9. Sep 2026
|
|
H (hedged)
|
EUR |
LU1551754515 |
35380297 |
118,16
|
-0.33%
|
9. Sep 2026
|
|
H (hedged)
|
USD |
LU1695535135 |
38576584 |
133,99
|
0.75%
|
9. Sep 2026
|
|
H1 (hedged)
|
USD |
LU1683479015 |
38291772 |
129,43
|
0.54%
|
9. Sep 2026
|
|
HC (hedged)
|
EUR |
LU1706319271 |
38842506 |
108,19
|
-0.61%
|
9. Sep 2026
|
|
HC1 (hedged)
|
USD |
LU1683479106 |
38291773 |
127,74
|
0.41%
|
9. Sep 2026
|
|
HG (hedged)
|
EUR |
LU1717117623 |
39078855 |
120,22
|
0.21%
|
9. Sep 2026
|
|
HG (hedged)
|
USD |
LU1717117896 |
39078859 |
143,04
|
1.38%
|
9. Sep 2026
|
|
HI (hedged)
|
EUR |
LU1325141510 |
30515149 |
131,06
|
0.08%
|
9. Sep 2026
|
|
HI (hedged)
|
CHF |
LU1325143136 |
30515275 |
117,54
|
-1.49%
|
9. Sep 2026
|
|
HI (hedged)
|
USD |
LU1325144027 |
30517180 |
160,53
|
1.26%
|
9. Sep 2026
|
|
HI (hedged)
|
NOK |
LU1820067186 |
41686656 |
132,14
|
1.25%
|
9. Sep 2026
|
|
HN (hedged)
|
CHF |
LU2270707149 |
58756768 |
97,19
|
-1.53%
|
9. Sep 2026
|
|
HN (hedged)
|
USD |
LU1767066431 |
40236077 |
139,16
|
1.25%
|
9. Sep 2026
|
|
HN (hedged)
|
EUR |
LU1734078584 |
39472006 |
117,81
|
0.06%
|
9. Sep 2026
|
|
HNG (hedged)
|
CHF |
LU3043548281 |
143765737 |
101,77
|
-1.35%
|
9. Sep 2026
|
|
HNG (hedged)
|
EUR |
LU1325133921 |
30514756 |
132,90
|
0.18%
|
9. Sep 2026
|
|
HNG (hedged)
|
USD |
LU1695535051 |
38576583 |
143,46
|
1.36%
|
9. Sep 2026
|
|
HR (hedged)
|
CHF |
LU1650589929 |
37575133 |
111,39
|
-1.26%
|
9. Sep 2026
|
|
HS (hedged)
|
CHF |
LU2373412878 |
113134992 |
97,63
|
-1.05%
|
9. Sep 2026
|
|
I
|
GBP |
LU1322871390 |
30445160 |
150,53
|
1.29%
|
9. Sep 2026
|
|
N
|
GBP |
LU1322871556 |
30445263 |
149,96
|
1.26%
|
9. Sep 2026
|
|
NG
|
GBP |
LU1322871986 |
30446217 |
152,44
|
1.36%
|
9. Sep 2026
|
|
UAQH1 (hedged)
|
USD |
LU1933832625 |
45983224 |
100,22
|
1.17%
|
9. Sep 2026
|
|
UH1 (hedged)
|
USD |
LU1809222539 |
41401397 |
138,40
|
1.18%
|
9. Sep 2026
|
US-Aktien
Quality Growth Boutique
| Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
|
A
|
USD |
LU0035763456 |
607575 |
1.931,36
|
-8.85%
|
9. Sep 2026
|
|
AI
|
USD |
LU1506584975 |
34305866 |
277,31
|
-8.21%
|
9. Sep 2026
|
|
AN
|
USD |
LU1683485764 |
38261795 |
224,36
|
-8.32%
|
9. Sep 2026
|
|
ANG
|
USD |
LU1550199050 |
35323704 |
256,86
|
-8.03%
|
9. Sep 2026
|
|
B
|
USD |
LU0035765741 |
607574 |
2.414,57
|
-8.85%
|
9. Sep 2026
|
|
C
|
USD |
LU0137005913 |
1301480 |
568,71
|
-9.22%
|
9. Sep 2026
|
|
G
|
USD |
LU1428951294 |
32785796 |
298,26
|
-8.01%
|
9. Sep 2026
|
|
H (hedged)
|
EUR |
LU0218912151 |
2143008 |
350,20
|
-10.07%
|
9. Sep 2026
|
|
HI (hedged)
|
CHF |
LU0469626211 |
10768533 |
209,70
|
-10.92%
|
9. Sep 2026
|
|
HI (hedged)
|
EUR |
LU0368557038 |
4289839 |
465,14
|
-9.47%
|
9. Sep 2026
|
|
HN (hedged)
|
EUR |
LU1683485848 |
38261806 |
182,98
|
-9.61%
|
9. Sep 2026
|
|
I
|
USD |
LU0278092605 |
2870679 |
529,36
|
-8.21%
|
9. Sep 2026
|
|
N
|
USD |
LU0897674072 |
20820028 |
402,08
|
-8.32%
|
9. Sep 2026
|
Flexible Allocation
Multi Asset Boutique
| Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
|
A
|
EUR |
LU2033387833 |
49239180 |
98,15
|
-1.30%
|
9. Sep 2026
|
|
AI
|
EUR |
LU2024691912 |
48822332 |
129,36
|
-0.95%
|
9. Sep 2026
|
|
B
|
EUR |
LU2033388054 |
49111161 |
98,57
|
-1.30%
|
9. Sep 2026
|
|
C
|
EUR |
LU3111886662 |
146738779 |
100,33
|
-1.65%
|
9. Sep 2026
|
|
H (hedged)
|
CHF |
LU2033388211 |
49111802 |
89,35
|
-2.91%
|
9. Sep 2026
|
|
H (hedged)
|
USD |
LU3111886589 |
146738777 |
102,89
|
-0.16%
|
9. Sep 2026
|
|
HI (hedged)
|
CHF |
LU2033388302 |
49239135 |
92,31
|
-2.56%
|
9. Sep 2026
|
|
HI (hedged)
|
USD |
LU2033388641 |
49239151 |
114,24
|
0.25%
|
9. Sep 2026
|
|
HI (hedged)
|
GBP |
LU3111886746 |
146738825 |
103,48
|
0.27%
|
9. Sep 2026
|
|
HN (hedged)
|
CHF |
LU2265799820 |
58699440 |
87,36
|
-2.59%
|
9. Sep 2026
|
|
HR (hedged)
|
CHF |
LU2243985145 |
57620838 |
88,61
|
-2.40%
|
9. Sep 2026
|
|
I
|
EUR |
LU2033388138 |
49111163 |
102,01
|
-0.94%
|
9. Sep 2026
|
|
N
|
EUR |
LU2033388484 |
49239144 |
102,06
|
-0.95%
|
9. Sep 2026
|
| Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
|
B
|
USD |
LU2167913123 |
54605274 |
151,41
|
8.48%
|
9. Sep 2026
|
|
H (hedged)
|
CHF |
LU2227303174 |
56895693 |
121,10
|
5.40%
|
9. Sep 2026
|
|
HN (hedged)
|
CHF |
LU2227303091 |
56895691 |
127,04
|
6.00%
|
9. Sep 2026
|
|
I
|
USD |
LU2167912745 |
54605248 |
159,65
|
9.13%
|
9. Sep 2026
|
|
I
|
EUR |
LU2386637255 |
113620222 |
135,82
|
10.05%
|
9. Sep 2026
|
|
N
|
USD |
LU2167913040 |
54605266 |
159,26
|
9.10%
|
9. Sep 2026
|
|
S
|
USD |
LU2167912828 |
54605264 |
168,00
|
9.75%
|
9. Sep 2026
|
| Anteilsklassen |
Währung |
ISIN |
Valor |
NAV |
YTD |
Per |
|
AG
|
USD |
LU2521693692 |
121027176 |
175,11
|
11.23%
|
9. Sep 2026
|
|
B
|
USD |
LU2275723612 |
58996754 |
116,76
|
10.41%
|
9. Sep 2026
|
|
G
|
USD |
LU2521693429 |
121027175 |
178,13
|
11.23%
|
9. Sep 2026
|
|
H (hedged)
|
EUR |
LU2307552567 |
110153173 |
102,91
|
8.86%
|
9. Sep 2026
|
|
H (hedged)
|
CHF |
LU2307553458 |
110153431 |
94,94
|
7.14%
|
9. Sep 2026
|
|
I
|
USD |
LU2275723703 |
58996755 |
122,57
|
11.17%
|
9. Sep 2026
|
|
N
|
CHF |
LU2275723968 |
58996757 |
162,77
|
13.22%
|
9. Sep 2026
|
|
N
|
USD |
LU2275723885 |
58996756 |
197,13
|
11.04%
|
9. Sep 2026
|
|
N
|
EUR |
LU2275724008 |
59018438 |
224,20
|
11.97%
|
9. Sep 2026
|
|
V
|
USD |
LU2275724420 |
59018499 |
217,60
|
11.07%
|
9. Sep 2026
|