Name
ISIN
  Type of yield
Currency
Investment company Repurchase p.
Date
Perf. 3M Perf. 1Y Perf. 3Y Perf. 5Y SR (1Y)
Vola. (1Y)
 
ZEUS Income Preservation Fund Class...
LI0245926022
reinvestment
EUR
CAIAC Fund M. 981.6100
1/17/2025
+0.52% +3.52% -2.68% - 0.19
4.32%
ZEUS Global Value Class EUR
LI0020736646
reinvestment
EUR
CAIAC Fund M. 1,817.4301
1/17/2025
-1.08% +11.63% +0.76% +15.03% 0.91
10.02%
ZEUS Absolute Return Class EUR
LI0020736679
reinvestment
EUR
CAIAC Fund M. 1,046.7900
1/17/2025
-0.21% +2.32% -6.32% -8.87% -0.08
4.32%
VOLKSBANK FUNDS-Balanced Selection ...
LI0188197946
reinvestment
EUR
CAIAC Fund M. 64.9800
1/22/2025
+1.42% +9.89% +5.28% +12.85% 1.57
4.64%
Volksbank Funds - Premium Selection...
LI0312403749
reinvestment
EUR
CAIAC Fund M. 181.3300
1/22/2025
+1.06% +14.96% +12.95% +34.34% 1.39
8.82%
ValueDO Absolute Return Fund Class ...
LI0560400785
reinvestment
EUR
CAIAC Fund M. 79.9500
1/22/2025
+0.29% +7.13% -16.06% - 1.39
3.19%
Trend Performance Fund Class R
LI0202207192
reinvestment
EUR
CAIAC Fund M. 190.6900
1/22/2025
+2.43% +17.43% +28.21% +28.29% 1.08
13.62%
Trend Performance Fund Class I
LI0202206665
reinvestment
EUR
CAIAC Fund M. 201.1200
1/22/2025
+2.54% +17.68% +29.74% +30.84% 1.10
13.59%
Systematic DLT Fund USD B
LI0448059167
reinvestment
USD
CAIAC Fund M. 196.8400
1/20/2025
+1.05% +20.08% -1.59% +32.50% 0.43
41.13%
Systematic DLT Fund EUR B
LI0448059159
reinvestment
EUR
CAIAC Fund M. 338.8100
1/20/2025
+5.27% +25.43% +6.73% +43.04% 0.55
42.01%
Systematic DLT Fund EUR A Seeder
LI0448059126
reinvestment
EUR
CAIAC Fund M. 373.9300
1/20/2025
+4.40% +25.32% +10.17% +52.69% 0.55
41.76%
Systematic DLT Fund CHF B
LI0448059175
reinvestment
CHF
CAIAC Fund M. 247.7200
1/20/2025
+6.11% +25.09% -2.84% +25.66% 0.53
42.6%
Systematic DLT Fund CHF A Seeder
LI0448059142
reinvestment
CHF
CAIAC Fund M. 316.5900
1/20/2025
+6.35% +26.61% +1.60% +35.95% 0.57
42.6%
Superfund White Inflation Fund Clas...
LI1231312722
reinvestment
USD
CAIAC Fund M. -
-
- - - - -
-
Superfund White Inflation Fund Clas...
LI1231312987
reinvestment
EUR
CAIAC Fund M. 9.7100
1/21/2025
-5.45% +1.46% - - -0.11
10.58%
Superfund White Inflation Fund Clas...
LI1231312862
reinvestment
CHF
CAIAC Fund M. 8.7500
1/21/2025
-6.02% +0.11% - - -0.24
10.54%
Superfund UCITS-Wonderfund Class US...
LI1231316046
reinvestment
USD
CAIAC Fund M. -
-
- - - - -
-
Superfund UCITS-Wonderfund Class EU...
LI1231316210
reinvestment
EUR
CAIAC Fund M. -
-
- - - - -
-
Superfund UCITS-Wonderfund Class CH...
LI1231316087
reinvestment
CHF
CAIAC Fund M. -
-
- - - - -
-
Superfund Systematic Investment Fun...
LI1143292541
reinvestment
USD
CAIAC Fund M. 131.4400
12/31/2024
+15.60% +27.80% - - -
11.06%