| 3R Alternative Fund -CHF- |
LI1332866527 |
133286652 |
CHF |
08.04.2024 |
3.81% |
3.81% |
40.57% |
31.12.2024 |
 |
| 3R Alternative Fund -EUR- |
LI1332866519 |
133286651 |
EUR |
08.04.2024 |
3.66% |
3.66% |
40.57% |
31.12.2024 |
 |
| 3R Alternative Fund -USD- |
LI1332866501 |
133286650 |
USD |
08.04.2024 |
3.62% |
3.68% |
40.57% |
31.12.2024 |
 |
| AAE Global Strategy Fund |
LI0032890555 |
3289055 |
CHF |
17.12.2007 |
3.61% |
|
2.08% |
30.06.2025 |
 |
| ACATIS Fair Value Aktien Global -CHF-I- |
LI0306626206 |
30662620 |
CHF |
15.02.2017 |
1.58% |
1.58% |
3.05% |
30.06.2025 |
 |
| ACATIS Fair Value Aktien Global -CHF-P- |
LI0123466802 |
12346680 |
CHF |
22.02.2011 |
2.08% |
2.08% |
3.05% |
30.06.2025 |
 |
| ACATIS Fair Value Aktien Global -EUR-I- |
LI0253998061 |
25399806 |
EUR |
12.01.2016 |
1.43% |
1.43% |
3.05% |
30.06.2025 |
 |
| ACATIS Fair Value Aktien Global -EUR-P- |
LI0017502381 |
1750238 |
EUR |
10.05.2004 |
2.03% |
2.03% |
3.05% |
30.06.2025 |
 |
| ACATIS Fair Value Aktien Global -USD-K- |
LI0335987173 |
33598717 |
USD |
03.10.2016 |
1.68% |
|
3.05% |
30.06.2025 |
 |
| Accumulus Fund AIF -CHF- |
LI1165464499 |
116546449 |
CHF |
24.05.2022 |
2.91% |
|
17.56% |
31.12.2024 |
 |
| Accumulus Fund AIF -CHF-F- |
LI1180095369 |
118009536 |
CHF |
24.05.2022 |
2.65% |
|
17.56% |
31.12.2024 |
 |
| Accumulus Fund AIF -EUR- |
LI1165464465 |
116546446 |
EUR |
24.05.2022 |
2.88% |
|
17.56% |
31.12.2024 |
 |
| Accumulus Fund AIF -EUR-D- |
LI1379460630 |
137946063 |
EUR |
31.10.2024 |
3.42% |
|
17.56% |
31.12.2024 |
 |
| Accumulus Fund AIF -EUR-F- |
LI1180095351 |
118009535 |
EUR |
24.05.2022 |
2.64% |
|
17.56% |
31.12.2024 |
 |
| Accumulus Fund AIF -USD- |
LI1165463954 |
116546395 |
USD |
24.05.2022 |
2.85% |
|
17.56% |
31.12.2024 |
 |
| Accumulus Fund AIF -USD-D- |
LI1379460648 |
137946064 |
USD |
31.10.2024 |
3.38% |
|
17.56% |
31.12.2024 |
 |
| Accumulus Fund AIF -USD-F- |
LI1180095344 |
118009534 |
USD |
24.05.2022 |
2.60% |
|
17.56% |
31.12.2024 |
 |
| Accumulus Fund AIF -USD-I- |
LI1321795026 |
132179502 |
USD |
29.02.2024 |
2.40% |
|
17.56% |
31.12.2024 |
 |
| ACG Active Strategy Fund -EUR-I- |
LI1323899354 |
132389935 |
EUR |
26.02.2024 |
2.21% |
2.74% |
257.05% |
30.06.2025 |
 |
| ACG Active Strategy Fund -EUR-R- |
LI1323899347 |
132389934 |
EUR |
26.02.2024 |
|
|
257.05% |
|
 |
| Agathis Fund -B- |
LI0119189772 |
11918977 |
CHF |
01.01.2011 |
0.95% |
1.31% |
124.71% |
30.06.2025 |
 |
| AISEC Fund -EUR-I- |
LI1460211561 |
146021156 |
EUR |
17.10.2025 |
|
|
|
|
 |
| Alpine Select Alternative Fund -CHF- |
LI0411653251 |
41165325 |
CHF |
22.05.2018 |
2.47% |
|
18.05% |
31.12.2024 |
 |
| ALTAIR Strategic Fund -EUR-R- |
LI1393957900 |
139395790 |
EUR |
13.01.2025 |
3.27% |
3.49% |
|
30.06.2025 |
 |
| ALTAIR Strategic Fund -USD-R- |
LI1393957918 |
139395791 |
USD |
13.01.2025 |
3.20% |
3.80% |
|
30.06.2025 |
 |
| Alteritas Quantitative Blue Chip Fund -EUR- |
LI0375452690 |
37545269 |
EUR |
20.09.2017 |
3.03% |
3.10% |
436.17% |
30.06.2025 |
 |
| Alteritas Strategie Fonds |
LI0274111041 |
27411104 |
CHF |
07.09.2015 |
2.65% |
2.65% |
254.96% |
30.06.2025 |
 |
| ANDES Latin American Bond Fund -USD-A- |
LI1458622670 |
145862267 |
USD |
05.08.2025 |
|
|
|
|
 |
| ANDES Latin American Bond Fund -USD-D- |
LI1458622704 |
145862270 |
USD |
05.08.2025 |
|
|
|
|
 |
| Ante Funds - Optionizer -CHF- |
LI1108479984 |
110847998 |
CHF |
28.05.2021 |
0.29% |
0.58% |
0.00% |
31.12.2024 |
 |
| Ante Funds - Optionizer -EUR- |
LI1108479992 |
110847999 |
EUR |
28.05.2021 |
0.29% |
0.84% |
0.00% |
31.12.2024 |
 |
| Ante Funds - Wolan -CHF- |
LI1257394802 |
125739480 |
CHF |
11.04.2023 |
1.84% |
|
9.04% |
31.12.2024 |
 |
| Ante Funds - Wolan -EUR- |
LI0550432632 |
55043263 |
EUR |
31.07.2020 |
1.83% |
|
9.04% |
31.12.2024 |
 |
| AP Music Royalties Fund -USD-A-acc |
LI0527573245 |
52757324 |
USD |
31.03.2021 |
1.35% |
1.93% |
0.00% |
31.12.2024 |
 |
| AP Music Royalties Fund -USD-A-dis |
LI0527573252 |
52757325 |
USD |
31.03.2022 |
1.35% |
1.94% |
0.00% |
31.12.2024 |
 |
| AP Music Royalties Fund -USD-E-acc |
LI0527573260 |
52757326 |
USD |
15.07.2020 |
0.84% |
1.54% |
0.00% |
31.12.2024 |
 |
| AP Music Royalties Fund -USD-E-dis |
LI0527573278 |
52757327 |
USD |
15.07.2020 |
0.84% |
1.54% |
0.00% |
31.12.2024 |
 |
| Aquila International Fund - Corby Swiss Equity -I- |
LI0351539767 |
35153976 |
CHF |
08.01.2018 |
1.04% |
|
40.82% |
30.06.2025 |
 |
| Aquila International Fund - Corby Swiss Equity -P- |
LI0012960956 |
1296095 |
CHF |
10.10.2001 |
1.84% |
1.88% |
40.82% |
30.06.2025 |
 |
| Archer Digital Technology Funds - AI Hypergrowth Fund I -CHF- |
LI1348655658 |
134865565 |
CHF |
30.09.2024 |
|
|
|
|
 |
| Archimedes Invest Plus Fund - CHF |
LI0023457893 |
2345789 |
CHF |
01.02.2006 |
2.15% |
|
110.15% |
30.06.2025 |
 |
| Aristotele Private Equity |
LI0029219214 |
2921921 |
EUR |
23.02.2007 |
10.92% |
|
0.00% |
31.12.2024 |
 |
| Asia Pacific Invest -USD- |
LI0122227684 |
12222768 |
USD |
12.01.2011 |
2.21% |
2.21% |
16.09% |
31.12.2024 |
 |
| ATACAMA Fund -EUR-I- |
LI1117941347 |
111794134 |
EUR |
|
|
|
|
|
 |
| ATACAMA Fund -EUR-R- |
LI1117941354 |
111794135 |
EUR |
09.07.2021 |
1.81% |
1.81% |
|
27.06.2025 |
 |
| Auctare PMS Fund -USD- |
LI0361549160 |
36154916 |
USD |
01.06.2017 |
3.33% |
5.21% |
1157.80% |
31.12.2024 |
 |
| Austrian Economics Fund - Precious Metals AIF -EUR- |
LI1403619219 |
140361921 |
EUR |
27.02.2025 |
|
|
|
|
 |
| Beagle Flagship Fund -EUR- |
LI0183680391 |
18368039 |
EUR |
29.05.2012 |
1.05% |
1.05% |
23.76% |
30.06.2025 |
 |
| Beaver Fund - Europe -EUR-A- |
LI1307940000 |
130794000 |
EUR |
22.12.2023 |
2.11% |
2.88% |
70.87% |
31.12.2024 |
 |
| Beaver Fund - Europe -EUR-D- |
LI1307940018 |
130794001 |
EUR |
15.12.2023 |
2.05% |
|
70.87% |
31.12.2024 |
 |
| Beaver Fund - Global -USD-A- |
LI1307940026 |
130794002 |
USD |
22.12.2023 |
2.04% |
3.19% |
110.92% |
31.12.2024 |
 |
| Beaver Fund - Global -USD-D- |
LI1307940034 |
130794003 |
USD |
15.12.2023 |
2.03% |
|
110.92% |
31.12.2024 |
 |
| Beaver Fund - Natural Resources -USD-A- |
LI1307940042 |
130794004 |
USD |
22.12.2023 |
2.09% |
3.05% |
62.56% |
31.12.2024 |
 |
| Beaver Fund - Natural Resources -USD-D- |
LI1307940059 |
130794005 |
USD |
15.12.2023 |
2.06% |
|
62.56% |
31.12.2024 |
 |
| Beaver Fund - North America -USD-A- |
LI1307940067 |
130794006 |
USD |
22.12.2023 |
1.91% |
6.09% |
67.08% |
31.12.2024 |
 |
| Beaver Fund - North America -USD-D- |
LI1307940075 |
130794007 |
USD |
15.12.2023 |
1.92% |
|
67.08% |
31.12.2024 |
 |
| Belvoir Global Allocation Fund -CHF- |
LI0272042065 |
27204206 |
CHF |
14.04.2015 |
1.98% |
1.98% |
217.59% |
30.06.2025 |
 |
| Belvoir Global Allocation Fund -EUR- |
LI0037789380 |
3778938 |
EUR |
30.09.2008 |
1.98% |
1.98% |
217.59% |
30.06.2025 |
 |
| Best Currency Bond Fund -EUR- |
LI1341568817 |
134156881 |
EUR |
18.06.2024 |
3.12% |
3.24% |
0.00% |
30.06.2025 |
 |
| Best of Class Global CB Portfolio -CHF-I- |
LI0126894562 |
12689456 |
CHF |
12.07.2012 |
2.09% |
2.09% |
40.01% |
30.06.2025 |
 |
| Best of Class Global CB Portfolio -CHF-R- |
LI0126894521 |
12689452 |
CHF |
16.06.2011 |
2.67% |
2.67% |
40.01% |
30.06.2025 |
 |
| Best of Class Global CB Portfolio -EUR-I- |
LI0126894588 |
12689458 |
EUR |
16.06.2011 |
2.10% |
|
40.01% |
30.06.2025 |
 |
| Best of Class Global CB Portfolio -EUR-R- |
LI0126894547 |
12689454 |
EUR |
16.06.2011 |
2.67% |
2.67% |
40.01% |
30.06.2025 |
 |
| Best of Class Global CB Portfolio -USD-I- |
LI0126894596 |
12689459 |
USD |
22.09.2011 |
2.11% |
2.11% |
40.01% |
30.06.2025 |
 |
| Best of Class Global CB Portfolio -USD-R- |
LI0126894554 |
12689455 |
USD |
16.06.2011 |
2.69% |
2.69% |
40.01% |
30.06.2025 |
 |
| BiC Best-in-Class Bond Select -CHF- |
LI0216797519 |
21679751 |
CHF |
18.03.2014 |
1.72% |
|
41.41% |
30.06.2025 |
 |
| BiC Best-in-Class Bond Select -EUR- |
LI0216797568 |
21679756 |
EUR |
18.03.2014 |
1.73% |
|
41.41% |
30.06.2025 |
 |
| BiC Best-in-Class Equity Select -CHF- |
LI0216797618 |
21679761 |
CHF |
18.03.2014 |
2.42% |
|
35.43% |
30.06.2025 |
 |
| BiC Best-in-Class Equity Select -EUR- |
LI0216797626 |
21679762 |
EUR |
03.03.2015 |
2.42% |
|
35.43% |
30.06.2025 |
 |
| Bonafide Global Fish Fund -CHF- |
LI0047679860 |
4767986 |
CHF |
30.04.2009 |
1.91% |
1.91% |
16.36% |
30.06.2025 |
 |
| Bonafide Global Fish Fund -CHF-A- |
LI0329781590 |
32978159 |
CHF |
18.01.2017 |
1.91% |
1.91% |
16.36% |
30.06.2025 |
 |
| Bonafide Global Fish Fund -CHF-Q |
LI1309362351 |
130936235 |
CHF |
03.01.2024 |
1.66% |
1.70% |
16.36% |
30.06.2025 |
 |
| Bonafide Global Fish Fund -EUR- |
LI0181468138 |
18146813 |
EUR |
11.06.2012 |
1.90% |
1.90% |
16.36% |
30.06.2025 |
 |
| Bonafide Global Fish Fund -EUR-A- |
LI0329781608 |
32978160 |
EUR |
02.11.2016 |
1.92% |
1.92% |
16.36% |
30.06.2025 |
 |
| Bonafide Global Fish Fund -EUR-Q |
LI1309362369 |
130936236 |
EUR |
03.01.2024 |
1.66% |
2.10% |
16.36% |
30.06.2025 |
 |
| Bonafide Global Fish Fund -USD- |
LI0252716753 |
25271675 |
USD |
14.12.2016 |
1.92% |
1.92% |
16.36% |
30.06.2025 |
 |
| Bonafide Investment Fund - Best Catches I -EUR- |
LI0459812520 |
45981252 |
EUR |
24.05.2019 |
2.02% |
2.02% |
84.50% |
31.12.2024 |
 |
| Bonafide Investment Fund - HBC II -NOK- |
LI1117988330 |
111798833 |
NOK |
12.11.2021 |
1.41% |
1.41% |
2.05% |
31.12.2024 |
 |
| C22 Crypto Volatility Fund -USD- |
LI1332866337 |
133286633 |
USD |
29.03.2024 |
2.39% |
2.58% |
0.00% |
31.12.2024 |
 |
| C22 Crypto Volatility Fund -USD-S- |
LI1332866360 |
133286636 |
USD |
29.03.2024 |
0.36% |
0.78% |
0.00% |
31.12.2024 |
 |
| CANSOUL Fonds - Hanf Aktien Global -EUR-C- |
LI0570943154 |
57094315 |
EUR |
18.12.2020 |
1.82% |
1.82% |
0.00% |
30.06.2025 |
 |
| CANSOUL Fonds - Hanf Aktien Global -EUR-S- |
LI0514446843 |
51444684 |
EUR |
01.09.2022 |
2.36% |
2.36% |
0.00% |
30.06.2025 |
 |
| CAP Japan Equity Fund -CHF-A- |
LI0210408378 |
21040837 |
CHF |
13.05.2013 |
1.89% |
2.75% |
248.46% |
30.06.2025 |
 |
| CAP Japan Equity Fund -CHF-I- |
LI0210408428 |
21040842 |
CHF |
28.05.2015 |
1.33% |
2.26% |
248.46% |
30.06.2025 |
 |
| CAP Japan Equity Fund -JPY-A- |
LI0210408212 |
21040821 |
JPY |
23.05.2013 |
1.89% |
2.84% |
248.46% |
30.06.2025 |
 |
| CAP Japan Equity Fund -JPY-I- |
LI0210408360 |
21040836 |
JPY |
13.05.2013 |
1.34% |
|
248.46% |
30.06.2025 |
 |
| CAPTURA Quantitative Fund -CHF-acc- |
LI0568243310 |
56824331 |
CHF |
01.10.2020 |
3.59% |
3.89% |
3576.48% |
31.12.2024 |
 |
| CAPTURA Quantitative Fund -USD-acc- |
LI0568243328 |
56824332 |
USD |
01.10.2020 |
3.37% |
3.98% |
3576.48% |
31.12.2024 |
 |
| Cat Gryphon Fund -CHF- |
LI0279674878 |
27967487 |
CHF |
01.06.2015 |
5.78% |
6.48% |
0.00% |
31.12.2024 |
 |
| Cat Gryphon Fund -CHF-I- |
LI1295089745 |
129508974 |
CHF |
28.06.2024 |
5.64% |
6.10% |
0.00% |
31.12.2024 |
 |
| Cat Gryphon Fund -USD- |
LI0036725187 |
3672518 |
USD |
28.02.2008 |
5.66% |
6.76% |
0.00% |
31.12.2024 |
 |
| Cat Gryphon Fund -USD-G- |
LI1147730678 |
114773067 |
USD |
31.01.2022 |
5.37% |
6.49% |
0.00% |
31.12.2024 |
 |
| Cat Gryphon Fund -USD-I- |
LI1295089737 |
129508973 |
USD |
31.01.2024 |
5.45% |
6.54% |
0.00% |
31.12.2024 |
 |
| CATAM Alternative Investment Fund -CHF- |
LI0295783893 |
29578389 |
CHF |
30.10.2015 |
3.81% |
4.36% |
0.00% |
31.12.2024 |
 |
| CATAM Alternative Investment Fund -CHF-I- |
LI1295074150 |
129507415 |
CHF |
30.04.2025 |
|
|
0.00% |
|
 |
| CATAM Alternative Investment Fund -USD- |
LI0011457244 |
1145724 |
USD |
19.12.2000 |
3.74% |
4.71% |
0.00% |
31.12.2024 |
 |
| CATAM Alternative Investment Fund -USD-I- |
LI1295074168 |
129507416 |
USD |
29.12.2023 |
3.47% |
4.45% |
0.00% |
31.12.2024 |
 |
| cd global invest |
LI0033840716 |
3384071 |
CHF |
30.11.2007 |
1.52% |
1.52% |
29.86% |
26.06.2025 |
 |
| Cervino Select Fund |
LI0045967309 |
4596730 |
EUR |
19.12.2008 |
2.24% |
2.24% |
0.00% |
27.06.2025 |
 |
| Chameleon Bond Opportunity Fonds Global -CHF-IT- |
LI0381645295 |
38164529 |
CHF |
28.06.2021 |
1.07% |
|
28.11% |
30.06.2025 |
 |
| Chameleon Bond Opportunity Fonds Global -CHF-PA- |
LI0320182699 |
32018269 |
CHF |
02.05.2016 |
1.42% |
|
28.11% |
30.06.2025 |
 |
| Chameleon Bond Opportunity Fonds Global -EUR-PA- |
LI0320182673 |
32018267 |
EUR |
02.05.2016 |
1.43% |
|
28.11% |
30.06.2025 |
 |
| Chameleon Bond Opportunity Fonds Global -USD-PT- |
LI0414223516 |
41422351 |
USD |
14.05.2018 |
1.43% |
|
28.11% |
30.06.2025 |
 |
| Chameleon Sustainable Global CB Fund -CHF-I- |
LI0324221808 |
32422180 |
CHF |
17.05.2016 |
0.78% |
|
91.13% |
30.06.2025 |
 |
| Chameleon Sustainable Global CB Fund -CHF-I2- |
LI1146685311 |
114668531 |
CHF |
22.11.2021 |
0.68% |
|
91.13% |
30.06.2025 |
 |
| Chameleon Sustainable Global CB Fund -CHF-P- |
LI0292265704 |
29226570 |
CHF |
19.10.2015 |
1.49% |
1.49% |
91.13% |
30.06.2025 |
 |
| Chameleon Sustainable Global CB Fund -EUR-I- |
LI0324221725 |
32422172 |
EUR |
16.01.2017 |
0.78% |
|
91.13% |
30.06.2025 |
 |
| Chameleon Sustainable Global CB Fund -EUR-P- |
LI0037862872 |
3786287 |
EUR |
23.05.2008 |
1.48% |
1.48% |
91.13% |
30.06.2025 |
 |
| Champion Ethical Equity Fund - Europe -EUR- |
LI0568770866 |
56877086 |
EUR |
01.10.2020 |
0.99% |
|
100.85% |
30.06.2025 |
 |
| Champion Ethical Equity Fund - Global -CHF- |
LI0348132148 |
34813214 |
CHF |
17.01.2017 |
0.90% |
|
0.00% |
30.06.2025 |
 |
| Champion Ethical Equity Fund - Global -EUR- |
LI0348132296 |
34813229 |
EUR |
17.01.2017 |
0.90% |
|
0.00% |
30.06.2025 |
 |
| Champion Ethical Equity Fund - Global -USD- |
LI0348132080 |
34813208 |
USD |
17.01.2017 |
0.90% |
|
0.00% |
30.06.2025 |
 |
| Champion Ethical Equity Fund - Switzerland -CHF- |
LI1181028211 |
118102821 |
CHF |
05.09.2022 |
1.15% |
|
11.37% |
30.06.2025 |
 |
| Champion Ethical Equity Fund - USA -USD- |
LI0568770890 |
56877089 |
USD |
01.10.2020 |
0.98% |
|
80.15% |
30.06.2025 |
 |
| CHARISMA (LI) Fonds - Global -CHF- |
LI0427635102 |
42763510 |
CHF |
22.01.2019 |
0.92% |
|
97.53% |
30.06.2025 |
 |
| CIIM European Stock Portfolio CHF I |
LI1275459256 |
127545925 |
CHF |
10.07.2023 |
1.40% |
|
|
30.06.2025 |
 |
| CIIM European Stock Portfolio CHF R |
LI1275459264 |
127545926 |
CHF |
10.07.2023 |
1.80% |
|
|
30.06.2025 |
 |
| CIIM European Stock Portfolio EUR I |
LI0240109632 |
24010963 |
EUR |
01.07.2014 |
1.41% |
|
|
30.06.2025 |
 |
| CIIM European Stock Portfolio EUR R |
LI0025828448 |
2582844 |
EUR |
04.09.2006 |
1.79% |
|
|
30.06.2025 |
 |
| CIIM European Stock Portfolio EUR SI |
LI1262775292 |
126277529 |
EUR |
08.05.2023 |
0.80% |
|
|
30.06.2025 |
 |
| Collar Equity Fund -EUR-R- |
LI0369512194 |
36951219 |
EUR |
06.09.2017 |
4.28% |
4.28% |
447.76% |
30.06.2025 |
 |
| Collar Equity Fund -USD-R- |
LI0369512228 |
36951222 |
USD |
06.09.2017 |
4.31% |
4.53% |
447.76% |
30.06.2025 |
 |
| COLOLO Latin American Equity Fund -EUR-I- |
LI1468143881 |
146814388 |
EUR |
14.08.2025 |
|
|
|
|
 |
| COLOLO Latin American Equity Fund -EUR-R- |
LI1468143873 |
146814387 |
EUR |
14.08.2025 |
|
|
|
|
 |
| COLOLO Latin American Equity Fund -USD-I- |
LI1467326768 |
146732676 |
USD |
14.08.2025 |
|
|
|
|
 |
| COLOLO Latin American Equity Fund -USD-R- |
LI1467326750 |
146732675 |
USD |
14.08.2025 |
|
|
|
|
 |
| Columbus Global Trend Fund (CHF) |
LI0014555382 |
1455538 |
CHF |
21.10.2002 |
1.82% |
|
9.33% |
27.06.2025 |
 |
| CORE Fund -CZK- |
LI0511346780 |
51134678 |
CZK |
31.12.2019 |
0.48% |
|
0.16% |
31.12.2024 |
 |
| Creating Alpha Fund - German Champions -EUR-I- |
LI1194733823 |
119473382 |
EUR |
29.12.2022 |
3.28% |
3.28% |
0.00% |
30.06.2025 |
 |
| Creating Alpha Fund - German Champions -EUR-R- |
LI0410879600 |
41087960 |
EUR |
30.05.2018 |
4.01% |
4.01% |
0.00% |
30.06.2025 |
 |
| Cronberg Global Equity Fund (CHF) -I- |
LI0329389311 |
32938931 |
CHF |
01.09.2016 |
1.28% |
1.28% |
49.98% |
26.06.2025 |
 |
| Cronberg Global Equity Fund (CHF) -R- |
LI0033888582 |
3388858 |
CHF |
29.11.2007 |
1.88% |
1.88% |
49.98% |
26.06.2025 |
 |
| Cronberg North American Equity Fund -I- |
LI1435399376 |
143539937 |
USD |
12.06.2025 |
|
|
|
|
 |
| Cronberg North American Equity Fund -M- |
LI1435399384 |
143539938 |
USD |
12.06.2025 |
0.00% |
|
|
26.06.2025 |
 |
| Cronberg North American Equity Fund -R- |
LI1435399368 |
143539936 |
USD |
12.06.2025 |
|
|
|
|
 |
| Cronberg Strategy Fund - Balanced (CHF) -I- |
LI0329408913 |
32940891 |
CHF |
18.02.2021 |
1.30% |
1.30% |
51.80% |
26.06.2025 |
 |
| Cronberg Strategy Fund - Balanced (CHF) -R- |
LI0017543609 |
1754360 |
CHF |
30.04.2004 |
1.82% |
1.82% |
51.80% |
26.06.2025 |
 |
| Diversified Multi Asset Income Fund -GBP-ID- |
LI1192159427 |
119215942 |
GBP |
27.07.2022 |
0.99% |
|
45.40% |
30.06.2025 |
 |
| Diversified Multi Asset Income Fund -GBP-RD- |
LI1192159419 |
119215941 |
GBP |
27.07.2022 |
1.74% |
|
45.40% |
30.06.2025 |
 |
| eCap Mosaic Fund -Q- |
LI0260072967 |
26007296 |
CHF |
03.12.2014 |
3.87% |
3.87% |
103.60% |
31.12.2024 |
 |
| Edge Growth -CHF-F- |
LI1153075851 |
115307585 |
CHF |
16.11.2022 |
1.26% |
|
|
30.06.2025 |
 |
| Edge Growth -CHF-I- |
LI1153075869 |
115307586 |
CHF |
18.08.2025 |
|
|
|
|
 |
| Edge Growth -CHF-R- |
LI1243411579 |
124341157 |
CHF |
14.02.2024 |
2.23% |
2.73% |
|
30.06.2025 |
 |
| Edge Growth -EUR-F- |
LI1153075836 |
115307583 |
EUR |
06.05.2024 |
1.26% |
|
|
30.06.2025 |
 |
| Edge Growth -EUR-I- |
LI1153075844 |
115307584 |
EUR |
21.08.2023 |
1.76% |
2.31% |
|
30.06.2025 |
 |
| Edge Growth -USD-F- |
LI1153075810 |
115307581 |
USD |
10.11.2022 |
1.27% |
|
|
30.06.2025 |
 |
| Edge Growth -USD-I- |
LI1153075828 |
115307582 |
USD |
01.06.2023 |
1.79% |
2.24% |
|
30.06.2025 |
 |
| ELIA Eurozone Focus Fund -EUR-I- |
LI1390873159 |
139087315 |
EUR |
13.01.2025 |
1.60% |
2.41% |
|
30.06.2025 |
 |
| ELIA Eurozone Focus Fund -EUR-P- |
LI1390873142 |
139087314 |
EUR |
15.01.2025 |
2.24% |
2.80% |
|
30.06.2025 |
 |
| EMCORE One Fund - Emcore Green Yield Dynamic -CHF- |
LI1271373311 |
127137331 |
CHF |
07.06.2023 |
1.07% |
1.17% |
0.00% |
30.06.2025 |
 |
| EMCORE One Fund - Emcore Green Yield Dynamic -EUR- |
LI1271373303 |
127137330 |
EUR |
07.06.2023 |
0.97% |
1.13% |
0.00% |
30.06.2025 |
 |
| EMCORE One Fund - Emcore Green Yield Dynamic -USD- |
LI1271373329 |
127137332 |
USD |
07.06.2023 |
1.01% |
1.23% |
0.00% |
30.06.2025 |
 |
| EMCORE Systematic Alpha -CHF- |
LI1451916251 |
145191625 |
CHF |
09.07.2025 |
|
|
|
|
 |
| EMCORE Systematic Alpha -EUR- |
LI1451916244 |
145191624 |
EUR |
09.07.2025 |
|
|
|
|
 |
| EMCORE Systematic Alpha -EUR-Y- |
LI1451916277 |
145191627 |
EUR |
09.07.2025 |
|
|
|
|
 |
| EMCORE Systematic Alpha -USD- |
LI1451916269 |
145191626 |
USD |
09.07.2025 |
|
|
|
|
 |
| Equity Privilege Fund |
LI0033510467 |
3351046 |
EUR |
25.01.2008 |
0.60% |
|
|
31.12.2023 |
 |
| European Entrepreneurs Fund I -EUR C-II- |
LI1260411585 |
126041158 |
EUR |
26.02.2024 |
10.55% |
10.55% |
0.00% |
31.12.2024 |
 |
| European Entrepreneurs Fund I -EUR-C- |
LI1260411569 |
126041156 |
EUR |
04.08.2023 |
1.69% |
|
0.00% |
31.12.2024 |
 |
| European Entrepreneurs Fund I -EUR-C-I- |
LI1260411577 |
126041157 |
EUR |
04.08.2023 |
9.14% |
9.14% |
0.00% |
31.12.2024 |
 |
| European Entrepreneurs Fund I -EUR-C-V- |
LI1260411619 |
126041161 |
EUR |
04.08.2023 |
1.69% |
1.69% |
0.00% |
31.12.2024 |
 |
| FACTUM Funds - Balanced -CHF-B- |
LI1149010053 |
114901005 |
CHF |
15.03.2022 |
1.48% |
|
32.37% |
31.12.2024 |
 |
| FACTUM Funds - Balanced -EUR-A- |
LI0532929424 |
53292942 |
EUR |
16.11.2021 |
1.91% |
|
32.37% |
31.12.2024 |
 |
| FACTUM Funds - Balanced -EUR-B- |
LI0532929564 |
53292956 |
EUR |
23.06.2020 |
1.48% |
|
32.37% |
31.12.2024 |
 |
| FACTUM Funds - Balanced -GBP-B- |
LI1149010103 |
114901010 |
GBP |
15.03.2022 |
1.48% |
|
32.37% |
31.12.2024 |
 |
| FACTUM Funds - Balanced -USD-A- |
LI1149010061 |
114901006 |
USD |
15.03.2022 |
1.88% |
|
32.37% |
31.12.2024 |
 |
| FACTUM Funds - Balanced -USD-B- |
LI1149010079 |
114901007 |
USD |
15.03.2022 |
1.48% |
|
32.37% |
31.12.2024 |
 |
| Felis Asia Convertible Bond Fund -A- |
LI0181841169 |
18184116 |
CHF |
02.07.2012 |
2.06% |
2.06% |
222.09% |
25.06.2025 |
 |
| Felis Asia Convertible Bond Fund -I- |
LI0005564955 |
556495 |
CHF |
29.01.1997 |
1.55% |
|
222.09% |
25.06.2025 |
 |
| Four Kings Absolute Return Fund -CHF- |
LI0243483836 |
24348383 |
CHF |
23.05.2014 |
3.29% |
|
7.56% |
31.12.2024 |
 |
| Four Kings Absolute Return Fund -EUR- |
LI0243483851 |
24348385 |
EUR |
23.05.2014 |
3.28% |
|
7.56% |
31.12.2024 |
 |
| FUTURUM Global Invest |
LI0213004448 |
21300444 |
EUR |
03.10.2013 |
2.60% |
2.98% |
68.87% |
30.06.2025 |
 |
| GADD SMP Fund -CHF- |
LI0125553995 |
12555399 |
CHF |
05.04.2011 |
1.33% |
1.32% |
738.55% |
30.06.2025 |
 |
| GADD SMP Fund -EUR- |
LI0125554019 |
12555401 |
EUR |
12.04.2011 |
1.34% |
1.44% |
738.55% |
30.06.2025 |
 |
| GADD SMP Fund -SEK- |
LI0125554027 |
12555402 |
SEK |
29.03.2011 |
1.33% |
1.35% |
738.55% |
30.06.2025 |
 |
| GADD SMP Fund -SEK-R- |
LI0350453903 |
35045390 |
SEK |
23.04.2021 |
1.54% |
1.57% |
738.55% |
30.06.2025 |
 |
| Gain Alpha Equity Fund -EUR-I- |
LI1327759489 |
132775948 |
EUR |
03.06.2024 |
|
|
|
|
 |
| Gain Alpha Equity Fund -EUR-I2- |
LI1359900142 |
135990014 |
EUR |
11.07.2024 |
|
|
|
|
 |
| Gain Alpha Equity Fund -EUR-P- |
LI1327759471 |
132775947 |
EUR |
03.06.2024 |
|
|
|
|
 |
| Gemini Fund - Gemini I |
LI0246934009 |
24693400 |
USD |
28.07.2015 |
7.38% |
|
0.00% |
31.12.2024 |
 |
| GFA International Fund -EUR- |
LI0012132879 |
1213287 |
EUR |
08.06.2001 |
4.74% |
4.74% |
165.83% |
31.12.2024 |
 |
| Global Dynamic Fund -CHF- |
LI1464313025 |
146431302 |
CHF |
03.09.2025 |
|
|
|
|
 |
| Global Dynamic Fund -EUR- |
LI1445649315 |
144564931 |
EUR |
03.09.2025 |
|
|
|
|
 |
| Global Microfinance and SME Debt Fund -I- |
LI0339972288 |
33997228 |
USD |
31.10.2016 |
2.22% |
|
3.53% |
31.12.2024 |
 |
| Global Trends Fund - Innovation Fund -CHF-I- |
LI0339233467 |
33923346 |
CHF |
25.08.2017 |
1.08% |
|
145.42% |
31.07.2025 |
 |
| Global Trends Fund - Innovation Fund -CHF-R- |
LI0339233483 |
33923348 |
CHF |
03.10.2016 |
1.24% |
|
145.42% |
31.07.2025 |
 |
| Global Trends Fund - Innovation Fund -USD-I- |
LI0332891709 |
33289170 |
USD |
03.10.2016 |
1.10% |
|
145.42% |
31.07.2025 |
 |
| Global Trends Fund - Innovation Fund -USD-R- |
LI0332891717 |
33289171 |
USD |
03.10.2016 |
1.30% |
|
145.42% |
31.07.2025 |
 |
| H.A.M. Enhanced Yield CB Fund -USD- |
LI0555350656 |
55535065 |
USD |
22.07.2020 |
1.04% |
1.61% |
79.52% |
25.06.2025 |
 |
| H.A.M. Global Convertible Bond Fund -CHF-A- |
LI0045967341 |
4596734 |
CHF |
10.12.2008 |
1.32% |
1.32% |
113.49% |
25.06.2025 |
 |
| H.A.M. Global Convertible Bond Fund -CHF-D- |
LI0336894378 |
33689437 |
CHF |
31.08.2016 |
0.98% |
0.98% |
113.49% |
25.06.2025 |
 |
| H.A.M. Global Convertible Bond Fund -EUR-A- |
LI0010404585 |
1040458 |
EUR |
29.03.2000 |
1.32% |
1.32% |
113.49% |
25.06.2025 |
 |
| H.A.M. Global Convertible Bond Fund -EUR-D- |
LI0336894352 |
33689435 |
EUR |
31.08.2016 |
0.98% |
0.98% |
113.49% |
25.06.2025 |
 |
| H.A.M. Global Convertible Bond Fund -GBP-A- |
LI0364737259 |
36473725 |
GBP |
24.05.2017 |
1.32% |
1.32% |
113.49% |
25.06.2025 |
 |
| H.A.M. Global Convertible Bond Fund -USD-A- |
LI0028897788 |
2889778 |
USD |
11.04.2007 |
1.32% |
1.32% |
113.49% |
25.06.2025 |
 |
| H.A.M. Global Convertible Bond Fund -USD-D- |
LI0336894360 |
33689436 |
USD |
31.08.2016 |
0.98% |
0.98% |
113.49% |
25.06.2025 |
 |
| HAKURI Fonds -CHF- |
LI1110133454 |
111013345 |
CHF |
09.07.2021 |
1.20% |
|
106.55% |
31.12.2024 |
 |
| HERCULIS Partners "Aries" Fund -CHF- |
LI0121107234 |
12110723 |
CHF |
31.03.2011 |
3.50% |
3.50% |
202.37% |
31.12.2024 |
 |
| HERCULIS Partners "Taurus" Fund -USD- |
LI0190800727 |
19080072 |
USD |
01.07.2013 |
2.44% |
2.44% |
0.00% |
31.12.2024 |
 |
| Hornet Infrastructure - Water Fund -EUR- |
LI0034053376 |
3405337 |
EUR |
11.10.2007 |
1.53% |
|
0.00% |
30.06.2025 |
 |
| HOW Absolute Return Fund -CHF-I- |
LI1278249647 |
127824964 |
CHF |
20.07.2023 |
2.35% |
2.27% |
268.22% |
30.06.2025 |
 |
| HOW Absolute Return Fund -EUR-I- |
LI1278249639 |
127824963 |
EUR |
20.07.2023 |
2.36% |
2.50% |
268.22% |
30.06.2025 |
 |
| HOW Global Leaders Fund -EUR-I- |
LI1206123492 |
120612349 |
EUR |
26.10.2022 |
2.36% |
|
160.71% |
30.06.2025 |
 |
| HOW Made of Switzerland -CHF-I- |
LI1342555136 |
134255513 |
CHF |
15.05.2024 |
2.02% |
2.45% |
148.00% |
30.06.2025 |
 |
| HVP Funds - Constant Fixed Income |
LI0017845921 |
1784592 |
EUR |
21.04.2004 |
1.58% |
1.58% |
60.40% |
31.12.2024 |
 |
| HVP Funds - Target Equities |
LI0017845913 |
1784591 |
EUR |
21.04.2004 |
2.28% |
2.67% |
695.94% |
31.12.2024 |
 |
| HVP Global Opportunities Fund -CHF- |
LI0105946334 |
10594633 |
CHF |
28.12.2009 |
2.90% |
2.90% |
80.08% |
30.06.2025 |
 |
| IAB Strategy Fund -CHF- |
LI1264564744 |
126456474 |
CHF |
11.02.2025 |
|
|
0.00% |
|
 |
| IAB Strategy Fund -EUR- |
LI1264564751 |
126456475 |
EUR |
04.07.2023 |
1.81% |
6.87% |
0.00% |
31.12.2024 |
 |
| Incrementum Active Commodity Fund -CHF-I- |
LI0295080977 |
29508097 |
CHF |
29.09.2015 |
1.79% |
1.79% |
2058.47% |
30.06.2025 |
 |
| Incrementum Active Commodity Fund -CHF-S- |
LI1310333888 |
131033388 |
CHF |
16.12.2024 |
0.90% |
|
2058.47% |
30.06.2025 |
 |
| Incrementum Active Commodity Fund -EUR-A- |
LI1467603075 |
146760307 |
EUR |
14.08.2025 |
|
|
2058.47% |
|
 |
| Incrementum Active Commodity Fund -EUR-I- |
LI0226274285 |
22627428 |
EUR |
20.02.2014 |
1.65% |
1.65% |
2058.47% |
30.06.2025 |
 |
| Incrementum Active Commodity Fund -EUR-R- |
LI0226274319 |
22627431 |
EUR |
20.02.2014 |
1.91% |
1.91% |
2058.47% |
30.06.2025 |
 |
| Incrementum Active Gold Fund -EUR-I- |
LI1309461468 |
130946146 |
EUR |
20.09.2024 |
1.29% |
3.16% |
1209.41% |
30.06.2025 |
 |
| Incrementum Active Gold Fund -EUR-S- |
LI1309461450 |
130946145 |
EUR |
15.02.2024 |
1.03% |
|
1209.41% |
30.06.2025 |
 |
| Incrementum Active Gold Fund -EUR-V- |
LI1309461484 |
130946148 |
EUR |
15.02.2024 |
2.31% |
4.32% |
1209.41% |
30.06.2025 |
 |
| Incrementum All Seasons Fund -CHF-I- |
LI0477123645 |
47712364 |
CHF |
06.06.2019 |
1.25% |
|
413.63% |
30.06.2025 |
 |
| Incrementum All Seasons Fund -CHF-R- |
LI0477123652 |
47712365 |
CHF |
02.11.2022 |
1.62% |
|
413.63% |
30.06.2025 |
 |
| Incrementum All Seasons Fund -EUR-I- |
LI0477123629 |
47712362 |
EUR |
06.06.2019 |
1.25% |
|
413.63% |
30.06.2025 |
 |
| Incrementum All Seasons Fund -EUR-R- |
LI0477123637 |
47712363 |
EUR |
26.09.2019 |
1.62% |
|
413.63% |
30.06.2025 |
 |
| Incrementum All Seasons Fund -EUR-V- |
LI1178074509 |
117807450 |
EUR |
20.05.2022 |
2.00% |
|
413.63% |
30.06.2025 |
 |
| Incrementum All Seasons Fund -USD-I- |
LI0477123660 |
47712366 |
USD |
06.06.2019 |
1.25% |
|
413.63% |
30.06.2025 |
 |
| Incrementum Digital & Physical Gold Fund -CHF-A- |
LI0481314941 |
48131494 |
CHF |
05.08.2020 |
1.60% |
5.58% |
1383.28% |
31.12.2024 |
 |
| Incrementum Digital & Physical Gold Fund -EUR-A- |
LI0481314990 |
48131499 |
EUR |
24.06.2020 |
1.60% |
6.64% |
1383.28% |
31.12.2024 |
 |
| Incrementum Digital & Physical Gold Fund -EUR-D- |
LI1146978047 |
114697804 |
EUR |
22.12.2021 |
1.60% |
6.47% |
1383.28% |
31.12.2024 |
 |
| Incrementum Digital & Physical Gold Fund -USD-A- |
LI0387334563 |
38733456 |
USD |
11.03.2020 |
1.60% |
5.85% |
1383.28% |
31.12.2024 |
 |
| Incrementum Digital & Physical Gold Fund -USD-S- |
LI0481315047 |
48131504 |
USD |
26.02.2020 |
1.10% |
5.42% |
1383.28% |
31.12.2024 |
 |
| India Capital Fund AIF -A2- |
LI1462750632 |
146275063 |
USD |
31.08.2025 |
|
|
|
|
 |
| India Capital Fund AIF -A7-0825- |
LI1470681183 |
147068118 |
USD |
31.08.2025 |
|
|
|
|
 |
| India Capital Fund AIF -A7-0925- |
LI1470681191 |
147068119 |
USD |
11.09.2025 |
|
|
|
|
 |
| Innformance Funds - PE Capital I -EUR- |
LI0517477373 |
51747737 |
EUR |
21.02.2020 |
0.77% |
2.33% |
|
30.06.2024 |
 |
| Innformance Funds - PE Capital III -EUR-A- |
LI1107675046 |
110767504 |
EUR |
11.06.2021 |
0.99% |
2.29% |
|
30.06.2024 |
 |
| Innformance Funds - PE Capital III -EUR-B- |
LI1115729165 |
111572916 |
EUR |
11.06.2021 |
1.56% |
2.57% |
|
30.06.2024 |
 |
| Innformance Funds - PE Capital IV -EUR-A- |
LI1110087213 |
111008721 |
EUR |
03.03.2022 |
1.39% |
1.39% |
|
30.06.2024 |
 |
| Innformance Funds - PE Capital IV -EUR-B- |
LI1162477338 |
116247733 |
EUR |
03.03.2022 |
1.39% |
1.39% |
|
30.06.2024 |
 |
| Innformance Funds - PE Capital V -USD- |
LI1156399415 |
115639941 |
USD |
03.03.2022 |
2.43% |
2.43% |
|
30.06.2024 |
 |
| Innformance Funds - PE Capital VI -EUR- |
LI1211724912 |
121172491 |
EUR |
03.01.2023 |
1.40% |
1.40% |
|
30.06.2024 |
 |
| Innformance Funds - PE Capital VII -CHF- |
LI1262056800 |
126205680 |
CHF |
31.07.2023 |
1.73% |
7.13% |
|
30.06.2024 |
 |
| Innformance Funds - PE Capital VIII -EUR- |
LI1277639228 |
127763922 |
EUR |
25.01.2024 |
3.26% |
3.36% |
|
30.06.2024 |
 |
| Innformance Funds - PE Capital X -CHF- |
LI1330411979 |
133041197 |
CHF |
01.03.2024 |
1.95% |
2.82% |
|
30.06.2024 |
 |
| Innformance Funds - PE Capital XI -EUR- |
LI1341035668 |
134103566 |
EUR |
30.04.2024 |
7.42% |
7.42% |
|
30.06.2024 |
 |
| Innformance Funds - Real Assets Opportunities EUR |
LI0428619683 |
42861968 |
EUR |
17.08.2018 |
1.40% |
|
|
30.06.2024 |
 |
| Investona Fund 2 -CZK- |
LI1468144020 |
16814402 |
CZK |
02.09.2025 |
|
|
|
|
 |
| Investona Fund 3 -CZK- |
LI1468914810 |
146891481 |
CZK |
02.09.2025 |
|
|
|
|
 |
| Investona Fund 4 -CZK- |
LI1469014925 |
146901492 |
CZK |
02.09.2025 |
|
|
|
|
 |
| IVA Bond Opportunities Euro Fund (CHF) B |
LI0381154645 |
38115464 |
CHF |
10.10.2017 |
0.92% |
|
459.23% |
30.06.2025 |
 |
| IVA Bond Opportunities Euro Fund (EUR) B |
LI0381154652 |
38115465 |
EUR |
10.10.2017 |
0.92% |
|
459.23% |
30.06.2025 |
 |
| IVA Bond Opportunities Euro Fund (GBP) B |
LI0381154660 |
38115466 |
GBP |
10.10.2017 |
0.92% |
|
459.23% |
30.06.2025 |
 |
| IVA Bond Opportunities Euro Fund (USD) B |
LI0381154686 |
38115468 |
USD |
10.10.2017 |
0.92% |
|
459.23% |
30.06.2025 |
 |
| JK Capital Fund -CHF- |
LI0123908431 |
12390843 |
CHF |
25.02.2011 |
6.43% |
6.43% |
208.04% |
31.12.2024 |
 |
| Kaleido Digital Asset Core Fund -USD-I- |
LI1285125855 |
128512585 |
USD |
28.03.2024 |
4.81% |
|
7.03% |
31.12.2024 |
 |
| Kaleido Digital Asset Core Fund -USD-S- |
LI1285125889 |
128512588 |
USD |
15.03.2024 |
3.62% |
|
7.03% |
31.12.2024 |
 |
| Kaleido Digital Asset Core Fund -USD-X- |
LI1293461102 |
129346110 |
USD |
22.03.2024 |
|
|
7.03% |
|
 |
| KEOX Funds - EURO Corporate Bonds -CHF-I- |
LI0351138917 |
35113891 |
CHF |
10.04.2017 |
0.70% |
|
254.84% |
30.06.2025 |
 |
| KEOX Funds - EURO Corporate Bonds -CHF-R- |
LI0185254757 |
18525475 |
CHF |
17.08.2012 |
1.05% |
|
254.84% |
30.06.2025 |
 |
| KEOX Funds - EURO Corporate Bonds -EUR-I- |
LI0351138891 |
35113889 |
EUR |
20.02.2017 |
0.70% |
|
254.84% |
30.06.2025 |
 |
| KEOX Funds - EURO Corporate Bonds -EUR-R- |
LI0022353390 |
2235339 |
EUR |
21.11.2005 |
1.05% |
|
254.84% |
30.06.2025 |
 |
| KEOX Funds - EURO Corporate Bonds -GBP-R- |
LI1138755767 |
113875576 |
GBP |
29.10.2021 |
1.04% |
|
254.84% |
30.06.2025 |
 |
| KEOX Funds - EURO Corporate Bonds -USD-I- |
LI0351138925 |
35113892 |
USD |
06.11.2020 |
0.70% |
|
254.84% |
30.06.2025 |
 |
| KEOX Funds - EURO Corporate Bonds -USD-R- |
LI0185254765 |
18525476 |
USD |
17.08.2012 |
1.05% |
|
254.84% |
30.06.2025 |
 |
| KEOX Funds - Global Bond Selection -CHF-I- |
LI1246613486 |
124661348 |
CHF |
28.04.2023 |
0.74% |
|
0.00% |
30.06.2025 |
 |
| KEOX Funds - Global Bond Selection -EUR-I- |
LI1246613494 |
124661349 |
EUR |
28.04.2023 |
0.73% |
|
0.00% |
30.06.2025 |
 |
| KEOX Funds - Global Bond Selection -USD-I- |
LI1246613502 |
124661350 |
USD |
28.04.2023 |
0.74% |
|
0.00% |
30.06.2025 |
 |
| Kyrios Value Dividend Fund -EUR-acc- |
LI0503148491 |
50314849 |
EUR |
04.11.2019 |
3.12% |
3.55% |
0.00% |
30.06.2025 |
 |
| Kyrios Value Dividend Fund -EUR-dis- |
LI0490033771 |
49003377 |
EUR |
04.11.2019 |
3.12% |
3.55% |
0.00% |
30.06.2025 |
 |
| Kyrios Value Dividend Fund -USD-acc- |
LI0503148509 |
50314850 |
USD |
14.11.2019 |
3.09% |
3.71% |
0.00% |
30.06.2025 |
 |
| Kyrios Value Dividend Fund -USD-dis- |
LI0503148582 |
50314858 |
USD |
14.11.2019 |
3.10% |
3.74% |
0.00% |
30.06.2025 |
 |
| Lasixx Fund - Forte |
LI0350268053 |
35026805 |
CHF |
01.02.2017 |
1.56% |
|
13.76% |
31.12.2024 |
 |
| Legacy Investment Funds - Hybrid Assets -A- |
LI0451136282 |
45113628 |
EUR |
28.06.2019 |
4.09% |
4.09% |
53.37% |
31.12.2024 |
 |
| Legacy Investment Funds - Hybrid Assets -B- |
LI0451136290 |
45113629 |
EUR |
30.09.2020 |
4.09% |
4.09% |
53.37% |
31.12.2024 |
 |
| Legacy Investment Funds - Origin -EUR- |
LI1116674600 |
111667460 |
EUR |
01.07.2021 |
4.52% |
14.78% |
0.94% |
31.12.2024 |
 |
| Legacy Investment Funds - R.E.D. 1 |
LI0451136274 |
45113627 |
EUR |
29.11.2019 |
2.88% |
4.90% |
0.00% |
31.12.2024 |
 |
| Linear Special Bond Fund |
LI0124515508 |
12451550 |
EUR |
08.04.2011 |
1.28% |
1.72% |
125.63% |
24.06.2025 |
 |
| LionGlobal Asian Quality Bond Fund -EUR-I- |
LI0141834445 |
14183444 |
EUR |
15.12.2011 |
1.53% |
|
69.24% |
30.06.2025 |
 |
| LionGlobal Asian Quality Bond Fund -EUR-R- |
LI0141834452 |
14183445 |
EUR |
12.02.2014 |
1.78% |
|
69.24% |
30.06.2025 |
 |
| LionGlobal Asian Quality Bond Fund -USD-I- |
LI0141834411 |
14183441 |
USD |
15.12.2011 |
1.49% |
|
69.24% |
30.06.2025 |
 |
| LionGlobal Asian Quality Bond Fund -USD-L- |
LI0355155123 |
35515512 |
USD |
09.05.2017 |
1.53% |
|
69.24% |
30.06.2025 |
 |
| LionGlobal Asian Quality Bond Fund -USD-R- |
LI0141834437 |
14183443 |
USD |
12.02.2014 |
1.78% |
|
69.24% |
30.06.2025 |
 |
| LionGlobal China A - Shares Fund -EUR-I- |
LI0280427241 |
28042724 |
EUR |
01.09.2015 |
1.51% |
|
71.77% |
30.06.2025 |
 |
| LionGlobal China A - Shares Fund -EUR-R- |
LI0280427258 |
28042725 |
EUR |
01.09.2015 |
2.03% |
|
71.77% |
30.06.2025 |
 |
| LionGlobal China A - Shares Fund -USD-I- |
LI0280427266 |
28042726 |
USD |
01.09.2015 |
1.51% |
|
71.77% |
30.06.2025 |
 |
| Lumen Vietnam Fund -CHF-I- |
LI0408681117 |
40868111 |
CHF |
17.10.2019 |
2.01% |
|
11.76% |
30.06.2025 |
 |
| Lumen Vietnam Fund -CHF-I2- |
LI0408681125 |
40868112 |
CHF |
16.04.2018 |
1.51% |
|
11.76% |
30.06.2025 |
 |
| Lumen Vietnam Fund -CHF-R- |
LI0334507477 |
33450747 |
CHF |
23.09.2016 |
2.50% |
|
11.76% |
30.06.2025 |
 |
| Lumen Vietnam Fund -EUR-I- |
LI0500707893 |
50070789 |
EUR |
28.05.2020 |
1.99% |
|
11.76% |
30.06.2025 |
 |
| Lumen Vietnam Fund -EUR-I2- |
LI0500707901 |
50070790 |
EUR |
05.05.2021 |
1.51% |
|
11.76% |
30.06.2025 |
 |
| Lumen Vietnam Fund -EUR-R- |
LI0334507485 |
33450748 |
EUR |
23.09.2016 |
2.50% |
|
11.76% |
30.06.2025 |
 |
| Lumen Vietnam Fund -USD-I- |
LI0408681091 |
40868109 |
USD |
20.04.2018 |
2.01% |
|
11.76% |
30.06.2025 |
 |
| Lumen Vietnam Fund -USD-I2- |
LI0408681109 |
40868110 |
USD |
01.03.2021 |
1.49% |
|
11.76% |
30.06.2025 |
 |
| Lumen Vietnam Fund -USD-R- |
LI0148578169 |
14857816 |
USD |
02.03.2012 |
2.52% |
|
11.76% |
30.06.2025 |
 |
| Magno Fund |
LI0486594539 |
48659453 |
EUR |
02.09.2019 |
1.69% |
|
8.33% |
30.06.2025 |
 |
| Marmite Exploration & Mining Invest |
LI0031154243 |
3115424 |
CHF |
10.08.2007 |
3.39% |
3.39% |
21.80% |
27.06.2025 |
 |
| Max Otte Multiple Opportunities Fund -CHF- |
LI1123173208 |
112317320 |
CHF |
30.07.2021 |
0.92% |
0.92% |
82.89% |
31.12.2024 |
 |
| Max Otte Multiple Opportunities Fund -EUR- |
LI0336886119 |
33688611 |
EUR |
31.10.2016 |
0.92% |
0.92% |
82.89% |
31.12.2024 |
 |
| MCM Investment Funds - Gold Miners -USD- |
LI0498574347 |
49857434 |
USD |
17.09.2021 |
5.41% |
6.67% |
0.00% |
31.12.2024 |
 |
| MCVM China and Asia Brands Fonds -EUR-R- |
LI0286383612 |
28638361 |
EUR |
27.12.2021 |
3.07% |
3.07% |
87.79% |
30.06.2025 |
 |
| MCVM China and Asia Brands Fonds -USD-I- |
LI0287485804 |
28748580 |
USD |
01.12.2015 |
2.57% |
2.57% |
87.79% |
30.06.2025 |
 |
| MCVM China and Asia Brands Fonds -USD-R- |
LI0286383570 |
28638357 |
USD |
01.12.2015 |
3.07% |
3.07% |
87.79% |
30.06.2025 |
 |
| MCVM Fonds - Basisstrategie EUR -R- acc |
LI0217370670 |
21737067 |
EUR |
27.08.2013 |
3.27% |
3.27% |
99.79% |
30.06.2025 |
 |
| MCVM Fonds II - Boma Value (EUR) -I- |
LI0284038994 |
28403899 |
EUR |
01.07.2015 |
1.11% |
|
75.36% |
30.06.2025 |
 |
| MCVM Fonds II - Boma Value (EUR) -R- |
LI0284039034 |
28403903 |
EUR |
14.07.2015 |
1.51% |
|
75.36% |
30.06.2025 |
 |
| MCVM Fonds II - SLEEK (EUR) -I- |
LI0392536186 |
39253618 |
EUR |
05.01.2018 |
1.72% |
2.54% |
77.29% |
26.06.2025 |
 |
| MCVM Global Brands Fonds EUR-R |
LI0301549049 |
30154904 |
EUR |
24.11.2015 |
2.46% |
2.46% |
118.77% |
30.06.2025 |
 |
| MIF Marine Invest Fund -USD- |
LI0293937186 |
29393718 |
USD |
23.10.2015 |
1.62% |
1.62% |
139.62% |
30.06.2025 |
 |
| Mistral Strategic Fund |
LI0190030903 |
19003090 |
EUR |
11.09.2012 |
1.90% |
2.30% |
95.89% |
30.06.2025 |
 |
| Mistral Value Fund -CHF-I- |
LI0260071316 |
26007131 |
CHF |
28.03.2018 |
1.26% |
1.36% |
177.53% |
30.06.2025 |
 |
| Mistral Value Fund -CHF-P- |
LI0126123459 |
12612345 |
CHF |
16.08.2011 |
2.37% |
2.58% |
177.53% |
30.06.2025 |
 |
| Mistral Value Fund -EUR-P- |
LI0126123475 |
12612347 |
EUR |
24.05.2011 |
2.37% |
2.73% |
177.53% |
30.06.2025 |
 |
| Mistral Value Fund -USD-P- |
LI0025109658 |
2510965 |
USD |
05.02.2007 |
2.36% |
2.81% |
177.53% |
30.06.2025 |
 |
| Monetalis Ruhestandsfonds |
LI0364853700 |
36485370 |
EUR |
30.05.2017 |
2.49% |
2.87% |
226.09% |
24.06.2025 |
 |
| MPC Prime Basket |
LI0033472098 |
3347209 |
EUR |
21.09.2007 |
1.24% |
|
|
30.11.2023 |
 |
| NEMO Fund -CZK- |
LI0466188294 |
46618829 |
CZK |
27.06.2019 |
0.06% |
|
0.00% |
31.12.2024 |
 |
| New Carpathian Fund -EUR- |
LI0329409143 |
32940914 |
EUR |
07.10.2016 |
4.84% |
4.84% |
0.00% |
31.12.2024 |
 |
| Nivalis Asia ex Japan Fund -USD- |
LI1116658983 |
111665898 |
USD |
21.07.2021 |
2.22% |
|
0.00% |
30.06.2025 |
 |
| O&O Fund - Side Pocket Orient & Occident Fund -EUR- |
LI1187198943 |
118719894 |
EUR |
04.07.2022 |
0.07% |
|
0.00% |
31.12.2023 |
 |
| O&O Fund - Side Pocket Orient & Occident Fund -EUR-I- |
LI1187198968 |
118719896 |
EUR |
04.07.2022 |
0.07% |
|
0.00% |
31.12.2023 |
 |
| O&O Fund - Side Pocket Orient & Occident Fund -EUR-I2- |
LI1187198976 |
118719897 |
EUR |
04.07.2022 |
0.07% |
|
0.00% |
31.12.2023 |
 |
| O&O Fund - Side Pocket Orient & Occident Fund -EUR-R- |
LI1187198950 |
118719895 |
EUR |
04.07.2022 |
0.07% |
|
0.00% |
31.12.2023 |
 |
| OHP Unternehmerfonds -CHF-I- |
LI1481661729 |
148166172 |
CHF |
27.10.2025 |
|
|
|
|
 |
| OHP Unternehmerfonds -CHF-R- |
LI1481661711 |
148166171 |
CHF |
10.11.2025 |
|
|
|
|
 |
| OHP Unternehmerfonds -EUR-I- |
LI1481661695 |
148166169 |
EUR |
27.10.2025 |
|
|
|
|
 |
| OHP Unternehmerfonds -EUR-R- |
LI1481661687 |
148166168 |
EUR |
10.11.2025 |
|
|
|
|
 |
| Optima Ventures Digital Transformation Fund -CHF- |
LI1169423236 |
116942323 |
CHF |
29.03.2022 |
1.23% |
|
|
30.06.2024 |
 |
| Optimatium Defensive Fund -EUR- |
LI0405785507 |
40578550 |
EUR |
23.03.2018 |
1.39% |
|
56.51% |
31.12.2024 |
 |
| Optimum Bond Fund |
LI0030517226 |
3051722 |
USD |
27.06.2007 |
0.97% |
|
76.61% |
25.06.2025 |
 |
| Orient & Occident Fund -EUR-I2- |
LI0430825245 |
43082524 |
EUR |
02.11.2018 |
1.90% |
|
180.19% |
30.06.2025 |
 |
| Palatium Funds - European Equities PLUS -I- |
LI0020997230 |
2099723 |
EUR |
15.07.2005 |
2.26% |
|
146.30% |
30.06.2025 |
 |
| Palatium Funds - European Equities PLUS -R- |
LI0392905811 |
39290581 |
EUR |
29.12.2017 |
2.46% |
|
146.30% |
30.06.2025 |
 |
| Palatium Funds - North American Equities PLUS -R- |
LI0392905829 |
39290582 |
USD |
29.12.2017 |
1.87% |
|
89.66% |
30.06.2025 |
 |
| Palatium Funds - Swiss Equities PLUS -I- |
LI0020997263 |
2099726 |
CHF |
15.07.2005 |
1.85% |
|
122.15% |
30.06.2025 |
 |
| Palatium Funds - Swiss Equities PLUS -R- |
LI0392905837 |
39290583 |
CHF |
29.12.2017 |
2.05% |
|
122.15% |
30.06.2025 |
 |
| PCP Funds - PCP Tactical Macro Fund -CHF-S- |
LI1237795029 |
123779502 |
CHF |
31.01.2023 |
3.44% |
3.44% |
117.16% |
31.12.2024 |
 |
| PCP Funds - PCP Tactical Macro Fund -EUR-S- |
LI1237795003 |
123779500 |
EUR |
31.01.2023 |
2.95% |
2.95% |
117.16% |
31.12.2024 |
 |
| PCP Funds - PCP Tactical Macro Fund -USD-I- |
LI1226818006 |
122681800 |
USD |
31.12.2022 |
3.95% |
3.95% |
117.16% |
31.12.2024 |
 |
| PCP Funds - PCP Tactical Macro Fund -USD-S- |
LI1226817990 |
122681799 |
USD |
31.12.2022 |
3.26% |
3.36% |
117.16% |
31.12.2024 |
 |
| Phénix Fund -EUR- |
LI0104009811 |
10400981 |
EUR |
29.10.2010 |
4.86% |
|
3.75% |
31.12.2024 |
 |
| Phi Funds - Gold -CHF-I- |
LI0511379948 |
51137994 |
CHF |
29.01.2020 |
2.70% |
2.70% |
6.05% |
31.12.2024 |
 |
| Phi Funds - Gold -USD-I- |
LI0511379989 |
51137998 |
USD |
22.01.2020 |
2.56% |
2.56% |
6.05% |
31.12.2024 |
 |
| PI Global Value Fund -CHF-I- |
LI0181848354 |
18184835 |
CHF |
02.07.2012 |
1.14% |
|
75.85% |
30.06.2025 |
 |
| PI Global Value Fund -CHF-P- |
LI0181848271 |
18184827 |
CHF |
02.07.2012 |
1.84% |
|
75.85% |
30.06.2025 |
 |
| PI Global Value Fund -EUR-I- |
LI0111367715 |
11136771 |
EUR |
18.10.2010 |
1.14% |
|
75.85% |
30.06.2025 |
 |
| PI Global Value Fund -EUR-P- |
LI0034492384 |
3449238 |
EUR |
17.03.2008 |
1.86% |
|
75.85% |
30.06.2025 |
 |
| PI Physical Gold Fund -CHF-I- |
LI1408320490 |
140832049 |
CHF |
28.01.2025 |
|
|
625.76% |
|
 |
| PI Physical Gold Fund -CHF-P- |
LI1381606980 |
138160698 |
CHF |
03.12.2024 |
0.97% |
|
625.76% |
31.12.2024 |
 |
| PI Physical Gold Fund -EUR-I- |
LI1408320482 |
140832048 |
EUR |
28.01.2025 |
|
|
625.76% |
|
 |
| PI Physical Gold Fund -EUR-SB- |
LI1439616783 |
143961678 |
EUR |
13.05.2025 |
|
|
625.76% |
|
 |
| PI Physical Gold Fund -EUR-P- |
LI1381606972 |
138160697 |
EUR |
22.10.2024 |
1.63% |
|
625.76% |
31.12.2024 |
 |
| PI Physical Silver Fund -CHF-I- |
LI1439616817 |
143961681 |
CHF |
13.05.2025 |
|
|
|
|
 |
| PI Physical Silver Fund -CHF-P- |
LI1439616825 |
143961682 |
CHF |
13.05.2025 |
|
|
|
|
 |
| PI Physical Silver Fund -EUR-I- |
LI1439616791 |
143961679 |
EUR |
13.05.2025 |
|
|
|
|
 |
| PI Physical Silver Fund -EUR-P- |
LI1439616809 |
143961680 |
EUR |
13.05.2025 |
|
|
|
|
 |
| PIZ Fonds - Colm -HiH-CHF- |
LI0371253837 |
37125383 |
CHF |
24.11.2017 |
1.67% |
|
73.73% |
30.06.2025 |
 |
| Postera Fund - Crypto I -EUR- |
LI0385769448 |
38576944 |
EUR |
18.04.2018 |
2.52% |
|
1237.11% |
31.12.2024 |
 |
| Principal Active Equity Fund -EUR-A- |
LI0405869970 |
40586997 |
EUR |
22.03.2018 |
1.34% |
|
77.79% |
31.12.2024 |
 |
| Principal Active Equity Fund -EUR-I2- |
LI0405869996 |
40586999 |
EUR |
22.03.2018 |
0.94% |
|
77.79% |
31.12.2024 |
 |
| Principal Maritime Strategies Fund -USD-C-I- |
LI0508265845 |
50826584 |
USD |
16.03.2020 |
1.60% |
3.81% |
0.00% |
31.12.2024 |
 |
| Principal Maritime Strategies Fund -USD-C-II- |
LI0508265852 |
50826585 |
USD |
06.04.2021 |
1.58% |
3.78% |
0.00% |
31.12.2024 |
 |
| PRIVUS Equity Fund Europe -CHF- |
LI0130446169 |
13044616 |
CHF |
30.09.2011 |
2.29% |
2.29% |
106.93% |
27.06.2025 |
 |
| PRIVUS Equity Fund Europe -EUR- |
LI0130446151 |
13044615 |
EUR |
30.09.2011 |
2.29% |
2.29% |
106.93% |
27.06.2025 |
 |
| Prudens Core Satellite Fund -CHF-R |
LI0570924238 |
57092423 |
CHF |
03.11.2020 |
1.76% |
|
126.52% |
30.06.2025 |
 |
| Prudens Global Convertible Fund -CHF-I- |
LI1272829105 |
127282910 |
CHF |
30.08.2023 |
1.47% |
|
355.14% |
30.06.2025 |
 |
| Prudens Global Convertible Fund -CHF-IR- |
LI1272829113 |
127282911 |
CHF |
05.07.2023 |
1.71% |
|
355.14% |
30.06.2025 |
 |
| Prudens Global Convertible Fund -CHF-SI- |
LI1442921410 |
144292141 |
CHF |
06.05.2025 |
0.90% |
|
355.14% |
30.06.2025 |
 |
| Prudens Global Convertible Fund -EUR-I- |
LI1272829121 |
127282912 |
|
03.11.2025 |
|
|
|
|
 |
| Prudens Global Convertible Fund -EUR-IR- |
LI1272829139 |
127282913 |
|
01.07.2025 |
|
|
355.14% |
|
 |
| Prudens Global Convertible Fund -EUR-SI- |
LI1442921428 |
144292142 |
EUR |
06.05.2025 |
0.90% |
|
355.14% |
30.06.2025 |
 |
| Prudens Global Convertible Fund -USD-IR- |
LI1272829154 |
127282915 |
USD |
11.07.2025 |
|
|
355.14% |
|
 |
| Prudens Global Equity Fund -CHF-I- |
LI1226572199 |
122657219 |
CHF |
30.08.2023 |
2.45% |
|
20.58% |
30.06.2025 |
 |
| Prudens Global Equity Fund -CHF-R- |
LI1226572207 |
122657220 |
CHF |
26.06.2023 |
3.08% |
|
20.58% |
30.06.2025 |
 |
| Prudens Global Equity Fund -EUR-I- |
LI1226572215 |
122657221 |
EUR |
26.06.2023 |
2.43% |
|
20.58% |
30.06.2025 |
 |
| Pure Europe Equity Fund -CHF-I- |
LI0509817545 |
50981754 |
CHF |
31.03.2020 |
1.07% |
|
0.00% |
30.06.2025 |
 |
| Pure Europe Equity Fund -EUR-I- |
LI0509817586 |
50981758 |
EUR |
31.03.2020 |
1.07% |
|
0.00% |
30.06.2025 |
 |
| Pure North America Equity Fund -USD-I- |
LI1152838226 |
115283822 |
USD |
29.12.2021 |
1.09% |
|
|
30.06.2025 |
 |
| Quadrivium Europe Fund |
LI0236804634 |
23680463 |
EUR |
08.05.2014 |
2.35% |
2.35% |
38.86% |
26.06.2025 |
 |
| Quintik Managed Futures Fund -EUR-I- |
LI1326593608 |
132659360 |
EUR |
05.04.2024 |
2.93% |
2.93% |
19847.78% |
31.12.2024 |
 |
| Quintik Managed Futures Fund -EUR-S- |
LI1326593616 |
132659361 |
EUR |
05.04.2024 |
2.68% |
2.68% |
19847.78% |
31.12.2024 |
 |
| Qvest Strategy Fund -CHF- |
LI1318823336 |
131882333 |
CHF |
29.02.2024 |
1.33% |
|
0.00% |
30.06.2025 |
 |
| Qvest Strategy Fund -CHF-PM- |
LI1318823310 |
131882331 |
CHF |
29.02.2024 |
0.72% |
|
0.00% |
30.06.2025 |
 |
| Qvest Strategy Fund -EUR- |
LI1318823328 |
131882332 |
EUR |
29.02.2024 |
1.33% |
|
0.00% |
30.06.2025 |
 |
| Qvest Strategy Fund -EUR-PM- |
LI1318823302 |
131882330 |
EUR |
29.02.2024 |
0.73% |
|
0.00% |
30.06.2025 |
 |
| Qwilenium Fund -CHF- |
LI1380284383 |
138028438 |
CHF |
29.11.2024 |
2.16% |
2.19% |
47.61% |
31.12.2024 |
 |
| Qwilenium Fund -USD- |
LI0421047650 |
42104765 |
USD |
21.09.2018 |
2.63% |
4.15% |
47.61% |
31.12.2024 |
 |
| RELO Fund -CHF-I- |
LI0508238792 |
50823879 |
CHF |
30.11.2019 |
1.76% |
|
0.00% |
31.12.2024 |
 |
| RELO Fund -EUR-I- |
LI0424522527 |
42452252 |
EUR |
05.11.2018 |
1.74% |
|
0.00% |
31.12.2024 |
 |
| RELO Fund -USD-I- |
LI0424522592 |
42452259 |
USD |
05.11.2018 |
1.73% |
|
0.00% |
31.12.2024 |
 |
| RELO Fund -USD-R- |
LI0424522543 |
42452254 |
USD |
05.11.2018 |
2.15% |
|
0.00% |
31.12.2024 |
 |
| Riverfield Alpine Fund - Elica Equity Fund -USD-F- |
LI1245277812 |
124527781 |
USD |
10.09.2024 |
0.61% |
|
|
30.06.2025 |
 |
| Riverfield Alpine Fund - Elica Equity Fund -USD-I- |
LI1245277838 |
124527783 |
USD |
10.09.2024 |
1.61% |
1.61% |
|
30.06.2025 |
 |
| Scherrer Small & Mid Cap Europe Fund -EUR-I- |
LI1275091927 |
127509192 |
EUR |
30.06.2023 |
1.09% |
1.71% |
43.69% |
30.06.2025 |
 |
| Scherrer Small & Mid Cap Europe Fund -EUR-R- |
LI0018448063 |
1844806 |
EUR |
11.10.2004 |
2.17% |
2.17% |
43.69% |
30.06.2025 |
 |
| Schröder & Co Investment Fund - Physical Gold -CHF-I- |
LI1347743596 |
134774359 |
CHF |
28.08.2024 |
|
|
|
|
 |
| Schröder & Co Investment Fund – Physical Gold -CHF-R- |
LI1347743620 |
134774362 |
CHF |
28.08.2024 |
|
|
|
|
 |
| Schröder & Co Investment Fund - Physical Gold -USD-I- |
LI1347743604 |
134774360 |
USD |
12.02.2025 |
|
|
|
|
 |
| SFO Edge Global Dynamic -CHF-F- |
LI1342556332 |
134255633 |
CHF |
08.05.2024 |
1.56% |
|
22.34% |
30.06.2025 |
 |
| SFO Edge Global Dynamic -EUR-F- |
LI1342556324 |
134255632 |
EUR |
08.05.2024 |
1.56% |
|
22.34% |
30.06.2025 |
 |
| SFO Edge Global Dynamic -USD-F- |
LI1342556316 |
134255631 |
USD |
08.05.2024 |
1.57% |
|
22.34% |
30.06.2025 |
 |
| SFO Edge Global Dynamic -USD-I- |
LI1342556282 |
134255628 |
USD |
04.02.2025 |
1.90% |
|
22.34% |
30.06.2025 |
 |
| SFR Global Wealth Fund |
LI0042401161 |
4240116 |
CHF |
01.10.2008 |
2.66% |
2.66% |
72.69% |
25.06.2025 |
 |
| SME Growth Private Equity Fund -CHF- |
LI1124927446 |
112492744 |
CHF |
26.10.2021 |
2.67% |
2.67% |
|
30.06.2024 |
 |
| SME Growth Private Equity Fund -CHF-R- |
LI1134237984 |
113423798 |
CHF |
26.10.2021 |
3.19% |
3.19% |
|
30.06.2024 |
 |
| Solidum Cat Bond Fund -CHF-D-acc-hedged |
LI1404062211 |
140406221 |
CHF |
30.05.2025 |
0.24% |
|
11.33% |
30.06.2025 |
 |
| Solidum Cat Bond Fund -CHF-I-acc-hedged |
LI0467052812 |
46705281 |
CHF |
30.04.2021 |
1.09% |
|
11.33% |
30.06.2025 |
 |
| Solidum Cat Bond Fund -CHF-R-acc-hedged |
LI0049587277 |
4958727 |
CHF |
30.09.2009 |
1.34% |
|
11.33% |
30.06.2025 |
 |
| Solidum Cat Bond Fund -CHF-T-acc-hedged |
LI1404062153 |
140406215 |
CHF |
16.05.2025 |
0.75% |
|
11.33% |
30.06.2025 |
 |
| Solidum Cat Bond Fund -EUR-A-acc-hedged |
LI1404062187 |
140406218 |
EUR |
31.10.2025 |
|
|
|
|
 |
| Solidum Cat Bond Fund -EUR-I-acc-hedged |
LI1261085891 |
126108589 |
EUR |
28.04.2023 |
1.07% |
|
11.33% |
30.06.2025 |
 |
| Solidum Cat Bond Fund -EUR-R-acc-hedged |
LI0049587301 |
4958730 |
EUR |
30.09.2009 |
1.33% |
|
11.33% |
30.06.2025 |
 |
| Solidum Cat Bond Fund -USD-I-acc |
LI0467052754 |
46705275 |
USD |
19.11.2021 |
1.09% |
|
11.33% |
30.06.2025 |
 |
| Solidum Cat Bond Fund -USD-R-acc |
LI0049587293 |
4958729 |
USD |
30.09.2009 |
1.34% |
|
11.33% |
30.06.2025 |
 |
| Solidum Cat Bond Fund -USD-T-acc |
LI1404062146 |
140406215 |
USD |
30.04.2025 |
0.73% |
|
11.33% |
30.06.2025 |
 |
| Steadfast Investment Fund |
LI0029213456 |
2921345 |
CHF |
30.06.2007 |
4.78% |
5.44% |
23.92% |
31.12.2024 |
 |
| Stream Invest |
LI0032910593 |
3291059 |
CHF |
02.11.2007 |
1.73% |
1.87% |
81.38% |
27.06.2025 |
 |
| Swiss Equity Symphony Fund -CHF- |
LI0363517868 |
36351786 |
CHF |
01.06.2017 |
3.19% |
3.19% |
9.88% |
30.06.2025 |
 |
| Swiss Life GSF - iConstant Orbit -CHF- |
LI0394750835 |
39475083 |
CHF |
12.03.2018 |
1.52% |
|
35.34% |
30.06.2025 |
 |
| Swiss Life GSF - iConstant Orbit -EUR- |
LI0394750827 |
39475082 |
EUR |
05.02.2018 |
1.47% |
|
35.34% |
30.06.2025 |
 |
| Swiss Strategy Portfolio -USD- |
LI0044610462 |
4461046 |
USD |
25.02.2009 |
4.27% |
|
71.43% |
31.12.2024 |
 |
| Tide Invest |
LI0026769351 |
2676935 |
CHF |
31.08.2006 |
2.05% |
2.12% |
20.95% |
27.06.2025 |
 |
| Triangle Diversified Fund -EUR-I- |
LI0474146359 |
47414635 |
EUR |
29.09.2023 |
4.07% |
|
21.71% |
31.12.2024 |
 |
| Triangle Diversified Fund -USD-D- |
LI0474146342 |
47414634 |
USD |
21.05.2019 |
4.22% |
|
21.71% |
31.12.2024 |
 |
| Triangle Diversified Fund -USD-I- |
LI0474146268 |
47414626 |
USD |
31.07.2019 |
4.37% |
|
21.71% |
31.12.2024 |
 |
| Trivium Fund - Alternative Allocation -CHF- |
LI0111017070 |
11101707 |
CHF |
23.03.2010 |
2.10% |
|
2.12% |
31.12.2024 |
 |
| Trivium Fund - Alternative Allocation -EUR- |
LI0111017062 |
11101706 |
EUR |
23.03.2010 |
2.11% |
|
2.12% |
31.12.2024 |
 |
| Trivium Fund - Alternative Allocation -USD- |
LI0111017039 |
11101703 |
USD |
23.03.2010 |
2.07% |
|
2.12% |
31.12.2024 |
 |
| Trivium Fund - Alternative Credit -CHF- |
LI1178868835 |
117886883 |
CHF |
31.05.2022 |
1.42% |
1.44% |
169.97% |
31.12.2024 |
 |
| Trivium Fund - Alternative Credit -EUR- |
LI1178868843 |
117886884 |
EUR |
29.04.2022 |
1.42% |
1.46% |
169.97% |
31.12.2024 |
 |
| Trivium Fund - Alternative Credit -USD- |
LI0545107778 |
54510777 |
USD |
01.07.2020 |
1.41% |
1.48% |
169.97% |
31.12.2024 |
 |
| Trivium Fund - Diversified Strategies -USD- |
LI0545107786 |
54510778 |
USD |
01.07.2020 |
2.03% |
2.60% |
114.52% |
31.12.2024 |
 |
| Trivium Fund - Private Markets -USD- |
LI0545108057 |
54510805 |
USD |
01.07.2020 |
2.77% |
2.77% |
6.53% |
31.12.2024 |
 |
| Trivium Fund - Side Pocket Alternative Cred.II CHF |
LI1330701676 |
133070167 |
CHF |
29.02.2024 |
1.26% |
|
76.59% |
31.12.2024 |
 |
| Trivium Fund - Side Pocket Alternative Cred.II EUR |
LI1330701668 |
133070166 |
EUR |
29.02.2024 |
1.26% |
|
76.59% |
31.12.2024 |
 |
| Trivium Fund - Side Pocket Alternative Cred.II USD |
LI1330701650 |
133070165 |
USD |
29.02.2024 |
1.25% |
|
76.59% |
31.12.2024 |
 |
| Trivium Fund - Side Pocket Alternative Credit CHF |
LI1266492670 |
126649267 |
CHF |
28.04.2023 |
2.85% |
|
10.32% |
31.12.2024 |
 |
| Trivium Fund - Side Pocket Alternative Credit EUR |
LI1266492571 |
126649257 |
EUR |
28.04.2023 |
2.84% |
|
10.32% |
31.12.2024 |
 |
| Trivium Fund - Side Pocket Alternative Credit USD |
LI1266477101 |
126647710 |
USD |
28.04.2023 |
2.81% |
|
10.32% |
31.12.2024 |
 |
| Uvote Fund -USD- |
LI0580516990 |
58051699 |
USD |
04.12.2020 |
2.19% |
|
5.28% |
27.06.2025 |
 |
| Value-Holdings Dividenden Fund |
LI0039541953 |
3954195 |
EUR |
01.07.2008 |
1.76% |
|
54.13% |
30.06.2025 |
 |
| Vates Aktien USA Fonds -CHF-I- |
LI1424902883 |
142490288 |
CHF |
14.04.2025 |
1.25% |
1.25% |
|
30.06.2025 |
 |
| Vates Aktien USA Fonds -CHF-I-Hedged- |
LI1424902891 |
142490289 |
CHF |
14.04.2025 |
1.27% |
1.27% |
|
30.06.2025 |
 |
| Vates Aktien USA Fonds -EUR-I- |
LI1206088406 |
120608840 |
EUR |
12.10.2022 |
1.25% |
1.25% |
|
30.06.2025 |
 |
| Vates Aktien USA Fonds -EUR-I-Hedged- |
LI1243352526 |
124335252 |
EUR |
01.03.2023 |
1.24% |
1.24% |
|
30.06.2025 |
 |
| Vates Aktien USA Fonds -EUR-IN- |
LI1360684875 |
136068487 |
EUR |
23.07.2025 |
|
|
|
|
 |
| Vates Aktien USA Fonds -EUR-R- |
LI1206088414 |
120608841 |
EUR |
12.10.2022 |
2.00% |
2.00% |
|
30.06.2025 |
 |
| Vates Aktien USA Fonds -USD-I- |
LI1243352542 |
124335254 |
USD |
01.03.2023 |
1.25% |
1.25% |
|
30.06.2025 |
 |
| VICTOREM Funds - Dea Dia Phoenix Fund -CHF- |
LI1147204344 |
114720434 |
CHF |
21.12.2021 |
1.96% |
7.66% |
27.17% |
31.12.2024 |
 |
| WAM Convertible Portfolio -CHF-A- |
LI0570943253 |
57094325 |
CHF |
22.01.2021 |
1.34% |
1.34% |
89.26% |
27.06.2025 |
 |
| WAM Convertible Portfolio -CHF-B- |
LI0570943303 |
57094330 |
CHF |
22.01.2021 |
0.32% |
|
89.26% |
27.06.2025 |
 |
| WAM Convertible Portfolio -EUR-A- |
LI0021303222 |
2130322 |
EUR |
01.08.2005 |
1.34% |
1.34% |
89.26% |
27.06.2025 |
 |
| WAM Strategy Portfolio -CHF-A- |
LI0572116858 |
57211685 |
CHF |
22.01.2021 |
1.68% |
|
49.14% |
31.12.2024 |
 |
| WAM Strategy Portfolio -CHF-B- |
LI0572116841 |
57211684 |
CHF |
22.01.2021 |
0.48% |
|
49.14% |
31.12.2024 |
 |
| WAM Strategy Portfolio -EUR-A- |
LI0021303255 |
2130325 |
EUR |
01.08.2005 |
1.68% |
|
49.14% |
31.12.2024 |
 |
| World Diversity Symphony Fund -CHF- |
LI0363924833 |
36392483 |
CHF |
01.06.2017 |
2.01% |
2.01% |
62.72% |
30.06.2025 |
 |
| World Diversity Symphony Fund -EUR- |
LI0363924825 |
36392482 |
EUR |
01.06.2017 |
2.01% |
2.35% |
62.72% |
30.06.2025 |
 |
| Z22 Smart Equity Fund -USD-I- |
LI1213023081 |
121302308 |
USD |
02.12.2022 |
1.67% |
1.67% |
6841.28% |
31.12.2024 |
 |
| Z22 Smart Equity Fund -USD-R- |
LI1213023099 |
121302309 |
USD |
02.12.2022 |
2.67% |
2.67% |
6841.28% |
31.12.2024 |
 |
| Zenit Funds - Zenit Active Capital -CHF-I- |
LI1365409237 |
136540923 |
CHF |
04.11.2024 |
|
|
|
|
 |
| Zenit Funds - Zenit Active Capital -CHF-R- |
LI1365409195 |
136540919 |
CHF |
04.11.2024 |
|
|
|
|
 |
| Zenit Funds - Zenit Active Capital -CHF-S- |
LI1365409278 |
136540927 |
CHF |
04.11.2024 |
|
|
|
|
 |
| Zenit Funds - Zenit Active Capital -EUR-I- |
LI1365409211 |
136540921 |
EUR |
04.11.2024 |
|
|
|
|
 |
| Zenit Funds - Zenit Active Capital -EUR-R- |
LI1365409179 |
136540917 |
EUR |
04.11.2024 |
|
|
|
|
 |
| Zenit Funds - Zenit Active Capital -EUR-S- |
LI1365409252 |
136540925 |
EUR |
04.11.2024 |
|
|
|
|
 |
| Zenit Funds - Zenit Active Capital -GBP-I- |
LI1365409245 |
136540924 |
GBP |
04.11.2024 |
|
|
|
|
 |
| Zenit Funds - Zenit Active Capital -GBP-R- |
LI1365409203 |
136540920 |
GBP |
04.11.2024 |
|
|
|
|
 |
| Zenit Funds - Zenit Active Capital -GBP-S- |
LI1365409286 |
136540928 |
GBP |
04.11.2024 |
|
|
|
|
 |
| Zenit Funds - Zenit Active Capital -USD-I- |
LI1365409229 |
136540922 |
USD |
04.11.2024 |
|
|
|
|
 |
| Zenit Funds - Zenit Active Capital -USD-R- |
LI1365409187 |
136540918 |
USD |
04.11.2024 |
|
|
|
|
 |
| Zenit Funds - Zenit Active Capital -USD-S- |
LI1365409260 |
136540926 |
USD |
04.11.2024 |
|
|
|
|
 |