| 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 |
05/11/2025 05/11/2025 05/11/2025 05/11/2025 |
1803.101 1678.465 196.636 2360.125 |
-0.033 -0.034 -0.032 -0.031 |
-0.171 -0.174 -0.163 -0.159 |
0.521 0.489 0.610 0.760 |
3.010 2.857 3.430 4.204 |
| Active Emerging Credit |
A B M Z |
LU0164978511 LU0178937933 LU0334387379 LU0236971908 |
05/11/2025 05/11/2025 05/11/2025 05/11/2025 |
1821.270 1706.948 162.148 2043.750 |
-0.063 -0.063 -0.062 -0.061 |
-0.226 -0.228 -0.219 -0.217 |
1.728 1.703 1.804 2.117 |
5.601 5.484 5.955 6.857 |
| Active Dollar Bond (USD) |
A E M |
LU0295370547 LU0334388005 LU0956014996 |
05/11/2025 05/11/2025 05/11/2025 |
1943.310 2331.311 1492.997 |
-0.066 -0.063 -0.063 |
-0.257 -0.247 -0.244 |
0.798 0.936 0.977 |
5.513 6.534 6.784 |
| Efficient Global Equities |
A B M |
LU1055116120 LU1055116393 LU1055116559 |
05/11/2025 05/11/2025 05/11/2025 |
1861.991 1395.063 2142.279 |
0.398 0.397 0.399 |
-0.520 -0.525 -0.514 |
5.790 5.721 5.888 |
13.630 13.296 14.118 |
| Efficient Emerging Equities |
A B M class M USD Z |
LU1190404001 LU1190404183 LU1190404936 LU1929491576 LU1190405156 |
05/11/2025 05/11/2025 05/11/2025 05/11/2025 05/11/2025 |
1309.682 1304.621 1450.597 998.037 1543.885 |
0.989 0.988 0.990 0.876 0.991 |
0.223 0.217 0.229 -0.318 0.231 |
12.199 12.125 12.305 10.136 12.335 |
18.018 17.667 18.530 31.398 18.671 |
| Active Liquid Strategy |
A B M |
LU0164978867 LU0178938311 LU0334387882 |
05/11/2025 05/11/2025 05/11/2025 |
1778.361 1682.651 168.983 |
0.259 0.259 0.260 |
-0.162 -0.164 -0.156 |
2.617 2.585 2.683 |
8.565 8.409 8.877 |
| Global Diversified |
A |
LU0863815675 |
05/11/2025 |
1156.100 |
0.007 |
-0.128 |
0.484 |
2.143 |
| SB Bond |
I B M |
LU0620021153 LU0620021583 LU0620021310 |
05/11/2025 05/11/2025 05/11/2025 |
1239.833 1036.907 1120.019 |
0.001 -0.002 0.000 |
-0.063 -0.078 -0.066 |
1.206 0.954 1.154 |
3.337 2.313 3.096 |
| SB Equity |
I B M |
LU0620020007 LU0620020346 LU0620020189 |
05/11/2025 05/11/2025 05/11/2025 |
2543.292 2032.336 2282.283 |
0.286 0.281 0.285 |
-0.323 -0.373 -0.329 |
9.313 8.515 9.249 |
9.325 7.236 8.911 |
| SB Convex |
I B M |
LU1468873762 LU1468873416 LU1468873689 |
05/11/2025 05/11/2025 05/11/2025 |
2158.012 1709.305 1690.028 |
2.436 2.430 2.434 |
-0.359 -0.387 -0.366 |
19.669 16.898 19.589 |
57.152 49.876 56.597 |
| SB Blockchain Technology |
I B |
LU0620020692 LU0620020932 |
05/11/2025 05/11/2025 |
2968.026 2378.657 |
3.446 3.441 |
0.818 0.796 |
32.442 30.987 |
43.072 40.063 |
