Sub-fund name | Class | ISIN | NAV date | NAV value | % day | % one month | % three months | % YTD |
---|---|---|---|---|---|---|---|---|
Active European Credit |
A B M Z |
LU0178938824 LU0178939392 LU0334387965 LU0236973276 |
18/07/2025 18/07/2025 18/07/2025 18/07/2025 |
1785.402 1662.876 194.419 2326.950 |
0.010 0.009 0.011 0.013 |
0.389 0.379 0.417 0.491 |
1.852 1.817 1.948 2.167 |
1.999 1.902 2.264 2.740 |
Active Emerging Credit |
A B M Z |
LU0164978511 LU0178937933 LU0334387379 LU0236971908 |
18/07/2025 18/07/2025 18/07/2025 18/07/2025 |
1764.731 1654.617 156.928 1967.577 |
0.109 0.108 0.110 0.111 |
0.557 0.557 0.560 0.602 |
2.507 2.481 2.587 2.664 |
2.323 2.251 2.544 2.875 |
Active Dollar Bond (USD) |
A E M |
LU0295370547 LU0334388005 LU0956014996 |
18/07/2025 18/07/2025 18/07/2025 |
1902.246 2276.979 1457.239 |
0.105 0.107 0.108 |
0.467 0.504 0.515 |
2.276 2.781 2.881 |
3.284 4.052 4.227 |
Efficient Global Equities |
A B M |
LU1055116120 LU1055116393 LU1055116559 |
18/07/2025 18/07/2025 18/07/2025 |
1725.221 1293.948 1981.928 |
-0.234 -0.235 -0.233 |
1.138 1.120 1.162 |
9.592 9.510 9.714 |
5.284 5.084 5.576 |
Efficient Emerging Equities |
A B M class M USD Z |
LU1190404001 LU1190404183 LU1190404936 LU1929491576 LU1190405156 |
18/07/2025 18/07/2025 18/07/2025 18/07/2025 18/07/2025 |
1157.952 1154.702 1280.587 894.005 1362.353 |
-0.712 -0.713 -0.711 -0.197 -0.710 |
2.398 2.381 2.424 1.629 2.431 |
10.569 10.485 10.696 13.428 10.726 |
4.345 4.146 4.638 17.701 4.717 |
Active Liquid Strategy |
A B M |
LU0164978867 LU0178938311 LU0334387882 |
18/07/2025 18/07/2025 18/07/2025 |
1708.839 1617.713 162.208 |
-0.156 -0.156 -0.155 |
0.599 0.592 0.613 |
4.737 4.705 4.801 |
4.321 4.225 4.511 |
Global Diversified |
A |
LU0863815675 |
18/07/2025 |
1146.584 |
0.007 |
0.199 |
1.579 |
1.303 |
SB Bond |
I B M |
LU0620021153 LU0620021583 LU0620021310 |
18/07/2025 18/07/2025 18/07/2025 |
1214.739 1019.618 1098.252 |
-0.026 -0.030 -0.027 |
0.005 -0.040 -0.001 |
1.271 1.022 1.213 |
1.245 0.607 1.093 |
SB Equity |
I B M |
LU0620020007 LU0620020346 LU0620020189 |
18/07/2025 18/07/2025 18/07/2025 |
2305.196 1859.465 2071.019 |
-0.400 -0.405 -0.402 |
2.146 2.056 2.121 |
11.681 11.247 11.560 |
-0.910 -1.886 -1.170 |
SB Convex |
I B M |
LU1468873762 LU1468873416 LU1468873689 |
18/07/2025 18/07/2025 18/07/2025 |
1806.758 1468.361 1416.651 |
-0.667 -0.673 -0.668 |
4.058 3.586 4.045 |
6.959 6.100 6.859 |
31.573 28.749 31.266 |
SB Blockchain Technology |
I B |
LU0620020692 LU0620020932 |
18/07/2025 18/07/2025 |
2382.417 1933.985 |
-1.162 -1.166 |
14.760 14.658 |
48.058 47.564 |
14.843 13.879 |