| 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 |
29/12/2025 29/12/2025 29/12/2025 29/12/2025 |
1805.000 1679.734 196.998 2365.757 |
0.151 0.147 0.159 0.168 |
0.059 0.042 0.103 0.135 |
0.183 0.136 0.311 0.440 |
3.118 2.935 3.620 4.453 |
| Active Emerging Credit |
A B M Z |
LU0164978511 LU0178937933 LU0334387379 LU0236971908 |
29/12/2025 29/12/2025 29/12/2025 29/12/2025 |
1832.558 1717.241 163.249 2059.498 |
0.188 0.187 0.193 0.208 |
0.182 0.173 0.216 0.262 |
2.241 2.210 2.341 2.634 |
6.255 6.121 6.674 7.681 |
| Active Dollar Bond (USD) |
A E M |
LU0295370547 LU0334388005 LU0956014996 |
29/12/2025 29/12/2025 29/12/2025 |
1957.126 2350.479 1505.761 |
0.149 0.163 0.167 |
0.346 0.410 0.429 |
1.031 1.217 1.273 |
6.264 7.410 7.697 |
| Efficient Global Equities |
A B M |
LU1055116120 LU1055116393 LU1055116559 |
29/12/2025 29/12/2025 29/12/2025 |
1881.252 1408.767 2166.060 |
0.156 0.149 0.165 |
0.766 0.736 0.810 |
3.622 3.533 3.751 |
14.806 14.409 15.385 |
| Efficient Emerging Equities |
A B M class M USD Z |
LU1190404001 LU1190404183 LU1190404936 LU1929491576 LU1190405156 |
29/12/2025 29/12/2025 29/12/2025 29/12/2025 29/12/2025 |
1279.627 1274.017 1418.364 1000.338 1509.905 |
1.167 1.161 1.177 1.207 1.180 |
0.431 0.401 0.475 1.872 0.487 |
3.235 3.145 3.359 3.512 3.400 |
15.309 14.907 15.896 31.701 16.059 |
| Active Liquid Strategy |
A B M |
LU0164978867 LU0178938311 LU0334387882 |
29/12/2025 29/12/2025 29/12/2025 |
1783.573 1687.103 169.575 |
0.247 0.243 0.255 |
0.298 0.281 0.333 |
1.401 1.355 1.495 |
8.883 8.696 9.258 |
| Global Diversified |
A |
LU0863815675 |
29/12/2025 |
1153.610 |
0.160 |
-0.136 |
0.026 |
1.923 |
| SB Bond |
I B M |
LU0620021153 LU0620021583 LU0620021310 |
29/12/2025 29/12/2025 29/12/2025 |
1236.187 1032.021 1116.240 |
0.233 0.210 0.227 |
-0.428 -0.529 -0.453 |
0.486 0.172 0.415 |
3.033 1.831 2.748 |
| SB Equity |
I B M |
LU0620020007 LU0620020346 LU0620020189 |
29/12/2025 29/12/2025 29/12/2025 |
2490.045 1984.493 2232.844 |
0.575 0.540 0.565 |
-0.637 -0.788 -0.679 |
2.072 1.157 1.951 |
7.036 4.711 6.552 |
| SB Convex |
I B M |
LU1468873762 LU1468873416 LU1468873689 |
29/12/2025 29/12/2025 29/12/2025 |
1841.659 1454.211 1441.244 |
-2.002 -2.042 -2.012 |
-5.413 -5.582 -5.451 |
-8.953 -10.166 -9.059 |
34.115 27.509 33.545 |
| SB Blockchain Technology |
I B |
LU0620020692 LU0620020932 |
29/12/2025 29/12/2025 |
2255.713 1803.671 |
-4.843 -4.872 |
-10.901 -11.018 |
-17.919 -18.786 |
8.736 6.206 |
