Nome
ISIN
  Type of yield
Valuta
Società d'investimento Prezzo di riacquisto
Data
Perf. 3M Perf. 1Y Perf. 3Y Perf. 5Y SR (1a)
Vola. (1a)
 
LGT (Lux) III - ILS Plus Fund B CHF
LU0950816735
reinvestment
CHF
LGT Capital P. (IE) 140.4600
31/12/2024
+2.11% +9.16% +14.59% +3.67% -
3.06%
LGT (Lux) III - ILS Plus Fund B EUR
LU0950816651
reinvestment
EUR
LGT Capital P. (IE) 165.6100
31/12/2024
+2.75% +11.64% +20.31% +9.47% -
2.95%
LGT (Lux) III - ILS Plus Fund B USD
LU0950816578
reinvestment
USD
LGT Capital P. (IE) 210.1700
31/12/2024
+3.04% +13.24% +26.80% +18.00% -
2.93%
LGT (Lux) III - ILS Plus Fund B2 CH...
LU0950817204
reinvestment
CHF
LGT Capital P. (IE) 155.7700
31/12/2024
+2.18% +9.61% +16.26% - -
2.97%
LGT (Lux) III - ILS Plus Fund B2 EU...
LU0950817113
reinvestment
EUR
LGT Capital P. (IE) 149.7100
31/12/2024
+2.89% +12.15% +22.19% - -
2.92%
LGT (Lux) III - ILS Plus Fund C CHF
LU0950817899
reinvestment
CHF
LGT Capital P. (IE) 104.1800
31/12/2024
+2.32% +9.76% +16.32% - -
3.04%
LGT (Lux) III - ILS Plus Fund C EUR
LU0950817626
reinvestment
EUR
LGT Capital P. (IE) 113.4300
31/12/2024
+2.88% +12.14% +21.92% +12.24% -
2.92%
LGT (Lux) III - ILS Plus Fund I2 CH...
LU0950818947
reinvestment
CHF
LGT Capital P. (IE) 109.3600
31/12/2024
+2.37% +10.13% +17.74% - -
3.04%
LGT(Lux) I Cat Bond Fund B CHF
LU0816333040
reinvestment
CHF
LGT Capital P. (IE) 121.6000
17/01/2025
+0.92% +5.88% +10.59% +13.78% -
1.65%
LGT(Lux) I Cat Bond Fund B EUR
LU0816332828
reinvestment
EUR
LGT Capital P. (IE) 133.7200
17/01/2025
+1.65% +8.60% +16.43% +20.37% -
1.67%
LGT(Lux) I Cat Bond Fund B USD
LU0816332745
reinvestment
USD
LGT Capital P. (IE) 160.9900
17/01/2025
+1.96% +10.23% +23.20% +30.25% -
1.67%
LGT(Lux) I Cat Bond Fund B2 CHF
LU0816333479
reinvestment
CHF
LGT Capital P. (IE) 131.4200
17/01/2025
+1.14% +6.49% +12.34% +16.81% -
1.67%
LGT(Lux) I Cat Bond Fund B2 EUR
LU0816333396
reinvestment
EUR
LGT Capital P. (IE) 143.9600
17/01/2025
+1.68% +9.02% +18.07% +23.34% -
1.67%
LGT(Lux) I Cat Bond Fund B2 USD
LU0816333123
reinvestment
USD
LGT Capital P. (IE) 174.0100
17/01/2025
+2.09% +10.76% +25.04% +33.55% -
1.67%
LGT(Lux) I Cat Bond Fund C CHF
LU0816333719
reinvestment
CHF
LGT Capital P. (IE) 131.3000
17/01/2025
+1.09% +6.44% +12.29% +16.72% -
1.66%
LGT(Lux) I Cat Bond Fund C EUR
LU0816333636
reinvestment
EUR
LGT Capital P. (IE) 144.6400
17/01/2025
+1.70% +9.05% +18.10% +23.38% -
1.67%
LGT(Lux) I Cat Bond Fund C USD
LU0816333552
reinvestment
USD
LGT Capital P. (IE) 174.1700
17/01/2025
+2.09% +10.76% +25.04% +33.55% -
1.67%
LGT(Lux) I Cat Bond Fund C2 CHF
LU2168313653
reinvestment
CHF
LGT Capital P. (IE) 117.3300
17/01/2025
+1.21% +6.67% - - -
1.67%
LGT(Lux) I Cat Bond Fund C2 EUR
LU2168313570
reinvestment
EUR
LGT Capital P. (IE) 118.9700
17/01/2025
+1.74% +9.21% - - -
1.66%
LGT(Lux) I Cat Bond Fund C2 USD
LU2168313497
reinvestment
USD
LGT Capital P. (IE) 122.5300
17/01/2025
+2.13% +10.93% - - -
1.67%