Fund Prices

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
31/03/2026
31/03/2026
31/03/2026
31/03/2026
1781.592
1657.226
194.674
2343.313
0.365
0.364
0.366
0.367
-2.229
-2.247
-2.183
-2.152
-1.276
-1.319
-1.162
-0.933
-1.276
-1.319
-1.162
-0.933
Active Emerging Credit
A
B
M
Z
LU0164978511
LU0178937933
LU0334387379
LU0236971908
31/03/2026
31/03/2026
31/03/2026
31/03/2026
1826.349
1710.826
162.869
2062.126
0.171
0.170
0.172
0.172
-2.342
-2.355
-2.303
-2.287
-0.386
-0.421
-0.283
0.070
-0.386
-0.421
-0.283
0.070
Active Dollar Bond (USD)
A
E
M
LU0295370547
LU0334388005
LU0956014996
31/03/2026
31/03/2026
31/03/2026
1947.724
2344.143
1502.608
0.169
0.172
0.172
-1.923
-1.836
-1.813
-0.471
-0.264
-0.205
-0.471
-0.264
-0.205
CoreWealth Equity
A
B
M
LU1055116120
LU1055116393
LU1055116559
31/03/2026
31/03/2026
31/03/2026
1797.276
1344.608
2071.848
1.043
1.035
1.037
-7.182
-7.216
-7.147
-4.148
-4.237
-4.036
-4.148
-4.237
-4.036
Active Liquid Strategy
A
B
LU0164978867
LU0178938311
31/03/2026
31/03/2026
1741.292
1646.409
1.297
1.297
-4.967
-4.984
-2.185
-2.226
-2.185
-2.226
Global Bond Diversified
A
LU0863815675
31/03/2026
1139.931
0.143
-2.412
-1.176
-1.176
SB Bond
I
B
M
LU0620021153
LU0620021583
LU0620021310
31/03/2026
31/03/2026
31/03/2026
1228.339
1022.315
1108.397
0.171
0.167
0.170
-2.395
-2.497
-2.420
-0.684
-0.983
-0.750
-0.684
-0.983
-0.750
SB Equity
I
B
M
LU0620020007
LU0620020346
LU0620020189
31/03/2026
31/03/2026
31/03/2026
2333.858
1852.391
2090.356
1.836
1.830
1.834
-6.111
-6.259
-6.152
-6.080
-6.456
-6.187
-6.080
-6.456
-6.187
SB Convex
I
B
M
LU1468873762
LU1468873416
LU1468873689
31/03/2026
31/03/2026
31/03/2026
1575.063
1237.136
1231.070
4.396
4.390
4.395
-4.649
-4.825
-4.691
-12.901
-13.351
-13.008
-12.901
-13.351
-13.008
SB Blockchain Technology
I
B
LU0620020692
LU0620020932
31/03/2026
31/03/2026
2101.138
1673.164
3.980
3.974
-6.242
-6.388
-4.491
-4.875
-4.491
-4.875