NAV08.01.2025 Diff.+1.6600 Ertragstyp Ausrichtung Fondsgesellschaft
461.6100CHF +0.36% thesaurierend Aktien Credit Suisse Funds 
     
Chart for Allianz Aktien Schw.B CHF
  Titel   ISIN Performance Volatilität Sharpe Ratio
1. Format Aktien Schweiz Dividendentitel - Klasse A (EUR) CH1132707600 +22.19% 11.49% 1.69
2. Format Aktien Schweiz Dividendentitel - Klasse Z (CHF) CH1132707626 +20.12% 11.52% 1.50
3. UBAM-Swiss Eq.AHC CHF LU0570480771 +23.98% 14.27% 1.49
4. Format Aktien Schweiz Dividendentitel - Klasse A (CHF) CH1132707592 +19.28% 11.51% 1.43
5. Oyat Investment Fund A CH1225085625 +17.67% 10.51% 1.42
6. LO Funds - Swiss Equity, Syst. NAV Hdg, (USD) MA LU2322288734 +15.98% 10.77% 1.23
7. Lakefield UCITS-SICAV - Swiss Large Cap Equity B (USD) LU1441982557 +15.76% 10.68% 1.22
8. UBAM-Swiss Eq.IHC USD LU0570481159 +15.99% 11.11% 1.19
9. UBAM-Swiss Eq.UHC USD LU1273953577 +15.94% 11.11% 1.19
10. UBAM-Swiss Eq.AHC CHF LU0782399306 +20.88% 15.59% 1.16
...
185. Allianz Aktien Schw.B CHF CH0014091257 +8.28% 10.56% 0.52