Kursdaten 16:17 01.04.2026
  • 476.85
  • 484.15
  • +1.53%
  • 7.30
  • 476.85
  • 02.04.2026
Kursentwicklung / Kennzahlen
Zeitraum Performance Volatilität Sharpe Ratio Bester Monat Schlecht. Monat Max Verlust
YTD +3.59% +11.28% +1.15% +5.21% -5.69% -5.69%
6 Monate -0.02% +10.02% -0.21% +5.21% -5.69% -5.69%
1 Jahr +11.87% +9.28% +1.05% +5.21% -5.69% -5.69%
3 Jahre +26.51% +8.13% +0.75% +5.21% -5.69% -10.05%
5 Jahre +5.53% +8.72% -0.11% +5.82% -6.49% -23.46%
Konditionen
  • -
  • +1.19%
  • -
Stammdaten
  • LU0221833030
  • 2180138
  • USD
  • Rentenfonds
  • thesaurierend
  • Anleihen Wandelanleihen
  • weltweit
  • -
  • Luxemburg
  • 07.07.2005
  • -
  • 01.01.2027
  • -
  • TreeTop AM
Dokumente
  • -
  • -
  • -
  • -
  • -
Grösste Positionen
  • 8%
  • 7%
  • 6%
  • 6%
  • 4%
  • 4%
  • 4%
  • 4%
  • 3%
  • 3%
Fondsstrategie
Under normal market conditions, the main part of the product is invested in convertible bonds and/or other fixed-income securities, bank deposits and warrants or call options on shares and, up to a maximum of 10% of the assets of the product, in units of collective investment undertakings representing these asset classes. The product may also invest in shares and other equity-linked securities and use derivatives for investment purposes or to reduce investment risk (hedging). Based on criteria such as innovation, quality of management, valuation and leadership, the manager selects companies around the world that it believes have strong growth prospects or are undervalued. The product invests in a concentrated portfolio of shares of these companies and/or instruments convertible into shares or giving the right to acquire shares of these companies. The manager's objective is to hedge positions in currencies other than EUR representing more than 2.5% of the net asset value of the product.