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    investment viewpoints

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    Showing 2020 of 2020 total share classes

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    Funds Asset Class Category Strategy
    Funds 1798 Fundamental Strategies Fund Ltd 15 Asset Class Alternatives Category - Strategy Offshore Strategies
    Share Class Currency Date NAV Perf.YTD
    Share Class 1798 Fundamental Strategies (CHF) A (Restr.) A Currency CHF Date 28.02.2023 NAV 161.04 Perf.YTD 0.85%
    Share Class 1798 Fundamental Strategies (CHF) A1 (Unrestr.) A Currency CHF Date 28.02.2023 NAV 166.02 Perf.YTD 0.85%
    Share Class 1798 Fundamental Strategies (CHF) B (Restr.) A Currency CHF Date 28.02.2023 NAV 174.16 Perf.YTD 0.93%
    Share Class 1798 Fundamental Strategies (CHF) B1 (Unrestr.) A Currency CHF Date 28.02.2023 NAV 180.83 Perf.YTD 0.94%
    Share Class 1798 Fundamental Strategies (EUR) A (Rest.) A Currency EUR Date 28.02.2023 NAV 170.24 Perf.YTD 1.05%
    Share Class 1798 Fundamental Strategies (EUR) A1 (Unrestr.) A Currency EUR Date 28.02.2023 NAV 175.93 Perf.YTD 1.06%
    Share Class 1798 Fundamental Strategies (EUR) B (Restr.) A Currency EUR Date 28.02.2023 NAV 185.28 Perf.YTD 1.14%
    Share Class 1798 Fundamental Strategies (EUR) B1 (Unrestr.) A Currency EUR Date 28.02.2023 NAV 191.60 Perf.YTD 1.14%
    Share Class 1798 Fundamental Strategies (GBP) A (Restr.) A Currency GBP Date 28.02.2023 NAV 140.57 Perf.YTD 1.37%
    Share Class 1798 Fundamental Strategies (GBP) A1 (Unrestr.) A Currency GBP Date 28.02.2023 NAV 148.45 Perf.YTD 1.38%
    Share Class 1798 Fundamental Strategies (JPY) J A Currency JPY Date 31.01.2020 NAV 103.25 Perf.YTD 0.66%
    Share Class 1798 Fundamental Strategies (USD) A (Rest.) A Currency USD Date 28.02.2023 NAV 202.96 Perf.YTD 1.61%
    Share Class 1798 Fundamental Strategies (USD) A1 (Unrestr.) A Currency USD Date 28.02.2023 NAV 210.01 Perf.YTD 1.62%
    Share Class 1798 Fundamental Strategies (USD) B (Restr.) A Currency USD Date 28.02.2023 NAV 221.05 Perf.YTD 1.70%
    Share Class 1798 Fundamental Strategies (USD) B1 (Unrestr.) A Currency USD Date 28.02.2023 NAV 228.81 Perf.YTD 1.70%
    Funds LO Funds (CH) - Balanced Allocation (CHF) 1 Asset Class Asset Allocation Category Balanced Profile Strategy Active Strategy
    Share Class Currency Date NAV Perf.YTD
    Share Class LO Funds (CH) - Balanced Allocation (CHF) P D Currency CHF Date 27.03.2023 NAV 92.91 Perf.YTD 0.54%
    Funds LO Funds (CH) - Commodity Risk Premia ex-Agri 8 Asset Class Alternatives Category - Strategy Liquid Alternatives Strategies
    Share Class Currency Date NAV Perf.YTD
    Share Class LO Funds (CH) - Commodity Risk Premia ex-Agri, CHF-SH I D Currency CHF Date 27.03.2023 NAV 76.58 Perf.YTD -3.13%
    Share Class LO Funds (CH) - Commodity Risk Premia ex-Agri, CHF-SH M D Currency CHF Date 27.03.2023 NAV 76.13 Perf.YTD -3.14%
    Share Class LO Funds (CH) - Commodity Risk Premia ex-Agri, CHF-SH P D Currency CHF Date 27.03.2023 NAV 72.01 Perf.YTD -3.30%
    Share Class LO Funds (CH) - Commodity Risk Premia ex-Agri, CHF-SH S D Currency CHF Date 27.03.2023 NAV 78.37 Perf.YTD -2.96%
    Share Class LO Funds (CH) - Commodity Risk Premia ex-Agri, CHF-SH Z D Currency CHF Date 27.03.2023 NAV 78.34 Perf.YTD -2.92%
    Share Class LO Funds (CH) - Commodity Risk Premia ex-Agri, EUR-SH M D Currency EUR Date 27.03.2023 NAV 120.55 Perf.YTD -2.82%
    Share Class LO Funds (CH) - Commodity Risk Premia ex-Agri M D Currency USD Date 27.03.2023 NAV 133.58 Perf.YTD -1.94%
    Share Class LO Funds (CH) - Commodity Risk Premia ex-Agri P D Currency USD Date 27.03.2023 NAV 127.12 Perf.YTD -2.10%
    Funds LO Funds (CH) - Global Government Fundamental Long Duration 2 Asset Class Fixed Income Category Government Strategy Fundamental Fixed Income
    Share Class Currency Date NAV Perf.YTD
    Share Class LO Funds (CH) - Global Government Fundamental Long Duration, CHF-SH Z D Currency CHF Date 27.03.2023 NAV 68.40 Perf.YTD 3.05%
    Share Class LO Funds (CH) - Global Government Fundamental Long Duration, EUR-SH Z D Currency EUR Date 27.03.2023 NAV 75.39 Perf.YTD 3.35%
    Funds LO Funds (CH) - Short-Term Money Market (CHF) 7 Asset Class Fixed Income Category Money Market Strategy Cash Strategies
    Share Class Currency Date NAV Perf.YTD
    Share Class LO Funds (CH) - Short-Term Money Market (CHF) I A Currency CHF Date 28.03.2023 NAV 100.23 Perf.YTD 0.17%
    Share Class LO Funds (CH) - Short-Term Money Market (CHF) I D Currency CHF Date 28.03.2023 NAV 92.31 Perf.YTD 0.17%
    Share Class LO Funds (CH) - Short-Term Money Market (CHF) M D Currency CHF Date 28.03.2023 NAV 92.46 Perf.YTD 0.17%
    Share Class LO Funds (CH) - Short-Term Money Market (CHF) P D Currency CHF Date 28.03.2023 NAV 92.34 Perf.YTD 0.15%
    Share Class LO Funds (CH) - Short-Term Money Market (CHF) S D Currency CHF Date 28.03.2023 NAV 92.32 Perf.YTD 0.18%
    Share Class LO Funds (CH) - Short-Term Money Market (CHF) T A Currency CHF Date 28.03.2023 NAV 92.31 Perf.YTD 0.17%
    Share Class LO Funds (CH) - Short-Term Money Market (CHF) U D Currency CHF Date 28.03.2023 NAV 93.08 Perf.YTD 0.18%
    Funds LO Funds (CH) - Short-Term Money Market (EUR) 5 Asset Class Fixed Income Category Money Market Strategy Cash Strategies
    Share Class Currency Date NAV Perf.YTD
    Share Class LO Funds (CH) - Short-Term Money Market (EUR) I A Currency EUR Date 28.03.2023 NAV 94.83 Perf.YTD 0.47%
    Share Class LO Funds (CH) - Short-Term Money Market (EUR) I D Currency EUR Date 28.03.2023 NAV 94.71 Perf.YTD 0.47%
    Share Class LO Funds (CH) - Short-Term Money Market (EUR) M D Currency EUR Date 28.03.2023 NAV 94.61 Perf.YTD 0.47%
    Share Class LO Funds (CH) - Short-Term Money Market (EUR) P A Currency EUR Date 28.03.2023 NAV 94.69 Perf.YTD 0.45%
    Share Class LO Funds (CH) - Short-Term Money Market (EUR) P D Currency EUR Date 28.03.2023 NAV 94.36 Perf.YTD 0.45%
    Funds LO Funds (CH) - Short-Term Money Market (USD) 5 Asset Class Fixed Income Category Money Market Strategy Cash Strategies
    Share Class Currency Date NAV Perf.YTD
    Share Class LO Funds (CH) - Short-Term Money Market (USD) I D Currency USD Date 28.03.2023 NAV 98.98 Perf.YTD 1.14%
    Share Class LO Funds (CH) - Short-Term Money Market (USD) M D Currency USD Date 28.03.2023 NAV 99.01 Perf.YTD 1.14%
    Share Class LO Funds (CH) - Short-Term Money Market (USD) P D Currency USD Date 28.03.2023 NAV 98.88 Perf.YTD 1.09%
    Share Class LO Funds (CH) - Short-Term Money Market (USD) S D Currency USD Date 28.03.2023 NAV 108.59 Perf.YTD 1.16%
    Share Class LO Funds (CH) - Short-Term Money Market (USD) U D Currency USD Date 28.03.2023 NAV 100.24 Perf.YTD 1.16%
    Funds LO Funds (CH) - Swiss Equities Tracker+ ESG 4 Asset Class Equities Category Switzerland Strategy Systematic
    Share Class Currency Date NAV Perf.YTD
    Share Class LO Funds (CH) - Swiss Equities Tracker+ ESG I D Currency CHF Date 27.03.2023 NAV 184.33 Perf.YTD 2.63%
    Share Class LO Funds (CH) - Swiss Equities Tracker+ ESG M D Currency CHF Date 27.03.2023 NAV 183.88 Perf.YTD 2.62%
    Share Class LO Funds (CH) - Swiss Equities Tracker+ ESG P D Currency CHF Date 27.03.2023 NAV 183.57 Perf.YTD 2.59%
    Share Class LO Funds (CH) - Swiss Equities Tracker+ ESG Z D Currency CHF Date 27.03.2023 NAV 185.01 Perf.YTD 2.67%
    Funds LO Funds (CH) - Swiss Franc Bond 5 Asset Class Fixed Income Category Aggregate Strategy Swiss Fixed Income
    Share Class Currency Date NAV Perf.YTD
    Share Class LO Funds (CH) - Swiss Franc Bond I D Currency CHF Date 27.03.2023 NAV 98.10 Perf.YTD 1.14%
    Share Class LO Funds (CH) - Swiss Franc Bond M D Currency CHF Date 27.03.2023 NAV 97.80 Perf.YTD 1.12%
    Share Class LO Funds (CH) - Swiss Franc Bond P D Currency CHF Date 27.03.2023 NAV 97.40 Perf.YTD 1.06%
    Share Class LO Funds (CH) - Swiss Franc Bond S D Currency CHF Date 27.03.2023 NAV 99.47 Perf.YTD 1.15%
    Share Class LO Funds (CH) - Swiss Franc Bond Z D Currency CHF Date 27.03.2023 NAV 98.90 Perf.YTD 1.19%
    Funds LO Funds (CH) - Swiss Franc Credit Bond 5 Asset Class Fixed Income Category Credit Strategy Swiss Fixed Income
    Share Class Currency Date NAV Perf.YTD
    Share Class LO Funds (CH) - Swiss Franc Credit Bond I D Currency CHF Date 27.03.2023 NAV 104.80 Perf.YTD 0.52%
    Share Class LO Funds (CH) - Swiss Franc Credit Bond M D Currency CHF Date 27.03.2023 NAV 105.05 Perf.YTD 0.51%
    Share Class LO Funds (CH) - Swiss Franc Credit Bond P D Currency CHF Date 27.03.2023 NAV 104.68 Perf.YTD 0.43%
    Share Class LO Funds (CH) - Swiss Franc Credit Bond S D Currency CHF Date 27.03.2023 NAV 105.43 Perf.YTD 0.55%
    Share Class LO Funds (CH) - Swiss Franc Credit Bond Z D Currency CHF Date 27.03.2023 NAV 105.62 Perf.YTD 0.60%
    Funds LO Funds (CH) - Swiss Franc High Grade Bond 4 Asset Class Fixed Income Category Aggregate Strategy Swiss Fixed Income
    Share Class Currency Date NAV Perf.YTD
    Share Class LO Funds (CH) - Swiss Franc High Grade Bond I D Currency CHF Date 27.03.2023 NAV 103.19 Perf.YTD 1.74%
    Share Class LO Funds (CH) - Swiss Franc High Grade Bond M D Currency CHF Date 27.03.2023 NAV 104.90 Perf.YTD 1.74%
    Share Class LO Funds (CH) - Swiss Franc High Grade Bond P D Currency CHF Date 27.03.2023 NAV 102.91 Perf.YTD 1.69%
    Share Class LO Funds (CH) - Swiss Franc High Grade Bond Z D Currency CHF Date 27.03.2023 NAV 103.42 Perf.YTD 1.80%
    Funds LO Funds (CH) - Swiss Leaders 4 Asset Class Equities Category Switzerland Strategy High Conviction
    Share Class Currency Date NAV Perf.YTD
    Share Class LO Funds (CH) - Swiss Leaders I D Currency CHF Date 27.03.2023 NAV 204.85 Perf.YTD 2.95%
    Share Class LO Funds (CH) - Swiss Leaders M D Currency CHF Date 27.03.2023 NAV 203.44 Perf.YTD 2.93%
    Share Class LO Funds (CH) - Swiss Leaders P D Currency CHF Date 27.03.2023 NAV 198.56 Perf.YTD 2.76%
    Share Class LO Funds (CH) - Swiss Leaders S D Currency CHF Date 27.03.2023 NAV 224.15 Perf.YTD 3.03%
    Funds LO Funds (CH) - Swiss Small & Mid Caps 5 Asset Class Equities Category Switzerland Strategy High Conviction
    Share Class Currency Date NAV Perf.YTD
    Share Class LO Funds (CH) - Swiss Small & Mid Caps I D Currency CHF Date 27.03.2023 NAV 840.64 Perf.YTD 5.97%
    Share Class LO Funds (CH) - Swiss Small & Mid Caps M D Currency CHF Date 27.03.2023 NAV 830.59 Perf.YTD 5.95%
    Share Class LO Funds (CH) - Swiss Small & Mid Caps P D Currency CHF Date 27.03.2023 NAV 808.37 Perf.YTD 5.78%
    Share Class LO Funds (CH) - Swiss Small & Mid Caps S D Currency CHF Date 27.03.2023 NAV 870.15 Perf.YTD 6.05%
    Share Class LO Funds (CH) - Swiss Small & Mid Caps Z D Currency CHF Date 27.03.2023 NAV 853.46 Perf.YTD 6.19%
    Funds LO Funds (CH) - Ultra Low Duration (CHF) 5 Asset Class Fixed Income Category Ultra Low Duration Strategy Cash Strategies
    Share Class Currency Date NAV Perf.YTD
    Share Class LO Funds (CH) - Ultra Low Duration (CHF) I D Currency CHF Date 27.03.2023 NAV 90.13 Perf.YTD 0.36%
    Share Class LO Funds (CH) - Ultra Low Duration (CHF) M D Currency CHF Date 27.03.2023 NAV 90.20 Perf.YTD 0.36%
    Share Class LO Funds (CH) - Ultra Low Duration (CHF) P D Currency CHF Date 27.03.2023 NAV 90.09 Perf.YTD 0.34%
    Share Class LO Funds (CH) - Ultra Low Duration (CHF) S D Currency CHF Date 27.03.2023 NAV 91.39 Perf.YTD 0.37%
    Share Class LO Funds (CH) - Ultra Low Duration (CHF) U D Currency CHF Date 27.03.2023 NAV 91.99 Perf.YTD 0.37%
    Funds LO Funds - All Roads 39 Asset Class Multi-Asset Category Balanced Profile Strategy Risk-Based
    Share Class Currency Date NAV Perf.YTD
    Share Class LO Funds - All Roads, Syst. NAV Hdg, (CHF) I A Currency CHF Date 27.03.2023 NAV 21.03 Perf.YTD 1.58%
    Share Class LO Funds - All Roads, Syst. NAV Hdg, (CHF) M A Currency CHF Date 27.03.2023 NAV 20.26 Perf.YTD 1.54%
    Share Class LO Funds - All Roads, Syst. NAV Hdg, (CHF) M D Currency CHF Date 27.03.2023 NAV 17.20 Perf.YTD 1.54%
    Share Class LO Funds - All Roads, Syst. NAV Hdg, (CHF) N A Currency CHF Date 27.03.2023 NAV 20.97 Perf.YTD 1.57%
    Share Class LO Funds - All Roads, Syst. NAV Hdg, (CHF) P A Currency CHF Date 27.03.2023 NAV 19.34 Perf.YTD 1.43%
    Share Class LO Funds - All Roads, Syst. NAV Hdg, (CHF) P D Currency CHF Date 27.03.2023 NAV 16.92 Perf.YTD 1.43%
    Share Class LO Funds - All Roads, Syst. NAV Hdg, (CHF) S A Currency CHF Date 27.03.2023 NAV 22.21 Perf.YTD 1.73%
    Share Class LO Funds - All Roads, Syst. NAV Hdg, X1, (CHF) M A Currency CHF Date 27.03.2023 NAV 20.36 Perf.YTD 1.61%
    Share Class LO Funds - All Roads, (EUR) I A Currency EUR Date 27.03.2023 NAV 13.89 Perf.YTD 1.98%
    Share Class LO Funds - All Roads, (EUR) I D Currency EUR Date 27.03.2023 NAV 13.68 Perf.YTD 1.98%
    Share Class LO Funds - All Roads, (EUR) M A Currency EUR Date 27.03.2023 NAV 13.58 Perf.YTD 1.94%
    Share Class LO Funds - All Roads, (EUR) M D Currency EUR Date 27.03.2023 NAV 13.23 Perf.YTD 1.93%
    Share Class LO Funds - All Roads, (EUR) N A Currency EUR Date 27.03.2023 NAV 13.86 Perf.YTD 1.97%
    Share Class LO Funds - All Roads, (EUR) N D Currency EUR Date 27.03.2023 NAV 13.02 Perf.YTD 1.97%
    Share Class LO Funds - All Roads, (EUR) P A Currency EUR Date 27.03.2023 NAV 12.97 Perf.YTD 1.82%
    Share Class LO Funds - All Roads, (EUR) P D Currency EUR Date 27.03.2023 NAV 12.97 Perf.YTD 1.82%
    Share Class LO Funds - All Roads, (EUR) P D1 Currency EUR Date 27.03.2023 NAV 11.34 Perf.YTD 1.83%
    Share Class LO Funds - All Roads, (EUR) R A Currency EUR Date 27.03.2023 NAV 11.63 Perf.YTD 1.58%
    Share Class LO Funds - All Roads, (EUR) R D1 Currency EUR Date 27.03.2023 NAV 10.77 Perf.YTD 1.58%
    Share Class LO Funds - All Roads, (EUR) S A Currency EUR Date 27.03.2023 NAV 14.24 Perf.YTD 2.04%
    Share Class LO Funds - All Roads, X1, (EUR) I D Currency EUR Date 27.03.2023 NAV 13.71 Perf.YTD 2.00%
    Share Class LO Funds - All Roads, X1, (EUR) M A Currency EUR Date 27.03.2023 NAV 13.71 Perf.YTD 2.00%
    Share Class LO Funds - All Roads, X1, (EUR) M D Currency EUR Date 27.03.2023 NAV 13.42 Perf.YTD 2.00%
    Share Class LO Funds - All Roads, Syst. NAV Hdg, (GBP) M A Currency GBP Date 27.03.2023 NAV 14.57 Perf.YTD 2.33%
    Share Class LO Funds - All Roads, Syst. NAV Hdg, (GBP) N A Currency GBP Date 27.03.2023 NAV 14.88 Perf.YTD 2.36%
    Share Class LO Funds - All Roads, Syst. NAV Hdg, (GBP) N D Currency GBP Date 27.03.2023 NAV 14.80 Perf.YTD 2.36%
    Share Class LO Funds - All Roads, Syst. NAV Hdg, (GBP) P A Currency GBP Date 27.03.2023 NAV 14.07 Perf.YTD 2.21%
    Share Class LO Funds - All Roads, Syst. NAV Hdg, X1, (GBP) I A Currency GBP Date 27.03.2023 NAV 10.45 Perf.YTD 2.50%
    Share Class LO Funds - All Roads, Syst. NAV Hdg, X1, (GBP) M A Currency GBP Date 27.03.2023 NAV 14.71 Perf.YTD 2.40%
    Share Class LO Funds - All Roads, Syst. NAV Hdg, (JPY) N A Currency JPY Date 27.03.2023 NAV 10689.00 Perf.YTD 1.39%
    Share Class LO Funds - All Roads, Syst. NAV Hdg, X1, (JPY) I A Currency JPY Date 27.03.2023 NAV 10703.00 Perf.YTD 1.42%
    Share Class LO Funds - All Roads, Syst. NAV Hdg, (USD) I A Currency USD Date 27.03.2023 NAV 15.58 Perf.YTD 2.63%
    Share Class LO Funds - All Roads, Syst. NAV Hdg, (USD) M A Currency USD Date 27.03.2023 NAV 15.39 Perf.YTD 2.59%
    Share Class LO Funds - All Roads, Syst. NAV Hdg, (USD) M D Currency USD Date 27.03.2023 NAV 15.30 Perf.YTD 2.59%
    Share Class LO Funds - All Roads, Syst. NAV Hdg, (USD) N A Currency USD Date 27.03.2023 NAV 15.57 Perf.YTD 2.62%
    Share Class LO Funds - All Roads, Syst. NAV Hdg, (USD) N D Currency USD Date 27.03.2023 NAV 15.57 Perf.YTD 2.62%
    Share Class LO Funds - All Roads, Syst. NAV Hdg, (USD) P A Currency USD Date 27.03.2023 NAV 14.70 Perf.YTD 2.48%
    Share Class LO Funds - All Roads, Syst. NAV Hdg, X1, (USD) M A Currency USD Date 27.03.2023 NAV 15.49 Perf.YTD 2.66%
    Share Class LO Funds - All Roads, Syst. NAV Hdg, X1, (USD) M D Currency USD Date 27.03.2023 NAV 15.44 Perf.YTD 2.66%
    Funds LO Funds - All Roads Conservative 24 Asset Class Multi-Asset Category Conservative Profile Strategy Risk-Based
    Share Class Currency Date NAV Perf.YTD
    Share Class LO Funds - All Roads Conservative, Syst. NAV Hdg, (CHF) I A Currency CHF Date 27.03.2023 NAV 10.28 Perf.YTD 0.81%
    Share Class LO Funds - All Roads Conservative, Syst. NAV Hdg, (CHF) M A Currency CHF Date 27.03.2023 NAV 10.19 Perf.YTD 0.77%
    Share Class LO Funds - All Roads Conservative, Syst. NAV Hdg, (CHF) N A Currency CHF Date 27.03.2023 NAV 10.26 Perf.YTD 0.80%
    Share Class LO Funds - All Roads Conservative, Syst. NAV Hdg, (CHF) P A Currency CHF Date 27.03.2023 NAV 10.04 Perf.YTD 0.70%
    Share Class LO Funds - All Roads Conservative, Syst. NAV Hdg, (CHF) S A Currency CHF Date 27.03.2023 NAV 10.55 Perf.YTD 0.92%
    Share Class LO Funds - All Roads Conservative, (EUR) I A Currency EUR Date 27.03.2023 NAV 10.50 Perf.YTD 1.21%
    Share Class LO Funds - All Roads Conservative, (EUR) M A Currency EUR Date 27.03.2023 NAV 10.38 Perf.YTD 1.17%
    Share Class LO Funds - All Roads Conservative, (EUR) M D Currency EUR Date 27.03.2023 NAV 10.38 Perf.YTD 1.17%
    Share Class LO Funds - All Roads Conservative, (EUR) N A Currency EUR Date 27.03.2023 NAV 10.48 Perf.YTD 1.20%
    Share Class LO Funds - All Roads Conservative, (EUR) N D Currency EUR Date 27.03.2023 NAV 10.48 Perf.YTD 1.20%
    Share Class LO Funds - All Roads Conservative, (EUR) P A Currency EUR Date 27.03.2023 NAV 10.21 Perf.YTD 1.10%
    Share Class LO Funds - All Roads Conservative, (EUR) P D Currency EUR Date 27.03.2023 NAV 10.21 Perf.YTD 1.10%
    Share Class LO Funds - All Roads Conservative, (EUR) P D1 Currency EUR Date 27.03.2023 NAV 9.71 Perf.YTD 1.09%
    Share Class LO Funds - All Roads Conservative, (EUR) R A Currency EUR Date 27.03.2023 NAV 9.93 Perf.YTD 0.94%
    Share Class LO Funds - All Roads Conservative, (EUR) S A Currency EUR Date 27.03.2023 NAV 10.70 Perf.YTD 1.32%
    Share Class LO Funds - All Roads Conservative, X1, (EUR) M A Currency EUR Date 27.03.2023 NAV 10.42 Perf.YTD 1.20%
    Share Class LO Funds - All Roads Conservative, X1, (EUR) M D Currency EUR Date 27.03.2023 NAV 10.42 Perf.YTD 1.20%
    Share Class LO Funds - All Roads Conservative, Syst. NAV Hdg, (GBP) N D Currency GBP Date 27.03.2023 NAV 10.75 Perf.YTD 1.57%
    Share Class LO Funds - All Roads Conservative, Syst. NAV Hdg, (USD) M A Currency USD Date 27.03.2023 NAV 11.62 Perf.YTD 1.78%
    Share Class LO Funds - All Roads Conservative, Syst. NAV Hdg, (USD) M D Currency USD Date 27.03.2023 NAV 11.62 Perf.YTD 1.78%
    Share Class LO Funds - All Roads Conservative, Syst. NAV Hdg, (USD) N A Currency USD Date 27.03.2023 NAV 11.68 Perf.YTD 1.81%
    Share Class LO Funds - All Roads Conservative, Syst. NAV Hdg, (USD) N D Currency USD Date 27.03.2023 NAV 11.68 Perf.YTD 1.81%
    Share Class LO Funds - All Roads Conservative, Syst. NAV Hdg, (USD) P A Currency USD Date 27.03.2023 NAV 11.46 Perf.YTD 1.70%
    Share Class LO Funds - All Roads Conservative, Syst. NAV Hdg, X1, (USD) M D Currency USD Date 27.03.2023 NAV 11.68 Perf.YTD 1.81%
    Funds LO Funds - All Roads Growth 21 Asset Class Multi-Asset Category Growth Profile Strategy Risk-Based
    Share Class Currency Date NAV Perf.YTD
    Share Class LO Funds - All Roads Growth, Syst. NAV Hdg, (CHF) I A Currency CHF Date 27.03.2023 NAV 12.27 Perf.YTD 2.69%
    Share Class LO Funds - All Roads Growth, Syst. NAV Hdg, (CHF) M A Currency CHF Date 27.03.2023 NAV 12.11 Perf.YTD 2.64%
    Share Class LO Funds - All Roads Growth, Syst. NAV Hdg, (CHF) N A Currency CHF Date 27.03.2023 NAV 12.24 Perf.YTD 2.68%
    Share Class LO Funds - All Roads Growth, Syst. NAV Hdg, (CHF) P A Currency CHF Date 27.03.2023 NAV 11.68 Perf.YTD 2.48%
    Share Class LO Funds - All Roads Growth, Syst. NAV Hdg, (CHF) S A Currency CHF Date 27.03.2023 NAV 11.23 Perf.YTD 2.90%
    Share Class LO Funds - All Roads Growth, (EUR) I A Currency EUR Date 27.03.2023 NAV 12.65 Perf.YTD 3.08%
    Share Class LO Funds - All Roads Growth, (EUR) M A Currency EUR Date 27.03.2023 NAV 12.50 Perf.YTD 3.03%
    Share Class LO Funds - All Roads Growth, (EUR) M D Currency EUR Date 27.03.2023 NAV 11.48 Perf.YTD 3.03%
    Share Class LO Funds - All Roads Growth, (EUR) N A Currency EUR Date 27.03.2023 NAV 12.62 Perf.YTD 3.08%
    Share Class LO Funds - All Roads Growth, (EUR) N D Currency EUR Date 27.03.2023 NAV 12.49 Perf.YTD 3.07%
    Share Class LO Funds - All Roads Growth, (EUR) P A Currency EUR Date 27.03.2023 NAV 12.00 Perf.YTD 2.87%
    Share Class LO Funds - All Roads Growth, (EUR) S A Currency EUR Date 27.03.2023 NAV 13.32 Perf.YTD 3.29%
    Share Class LO Funds - All Roads Growth, X1, (EUR) M A Currency EUR Date 27.03.2023 NAV 12.68 Perf.YTD 3.17%
    Share Class LO Funds - All Roads Growth, X1, (EUR) M D Currency EUR Date 27.03.2023 NAV 11.64 Perf.YTD 3.17%
    Share Class LO Funds - All Roads Growth, Syst. NAV Hdg, (USD) I A Currency USD Date 27.03.2023 NAV 13.11 Perf.YTD 3.78%
    Share Class LO Funds - All Roads Growth, Syst. NAV Hdg, (USD) M A Currency USD Date 27.03.2023 NAV 13.02 Perf.YTD 3.73%
    Share Class LO Funds - All Roads Growth, Syst. NAV Hdg, (USD) M D Currency USD Date 27.03.2023 NAV 12.84 Perf.YTD 3.73%
    Share Class LO Funds - All Roads Growth, Syst. NAV Hdg, (USD) N A Currency USD Date 27.03.2023 NAV 12.95 Perf.YTD 3.77%
    Share Class LO Funds - All Roads Growth, Syst. NAV Hdg, (USD) N D Currency USD Date 27.03.2023 NAV 12.88 Perf.YTD 3.77%
    Share Class LO Funds - All Roads Growth, Syst. NAV Hdg, (USD) P A Currency USD Date 27.03.2023 NAV 12.80 Perf.YTD 3.56%
    Share Class LO Funds - All Roads Growth, Syst. NAV Hdg, X1, (USD) M A Currency USD Date 27.03.2023 NAV 13.18 Perf.YTD 3.87%
    Funds LO Funds - Asia Diversified High Yield Bond 13 Asset Class Fixed Income Category - Strategy High Conviction
    Share Class Currency Date NAV Perf.YTD
    Share Class LO Funds - Asia Diversified High Yield Bond, Syst. NAV Hdg, Seed, (CHF) M A Currency CHF Date 27.03.2023 NAV 9.72 Perf.YTD -0.61%
    Share Class LO Funds - Asia Diversified High Yield Bond, Syst. NAV Hdg, Seed, (CHF) N A Currency CHF Date 27.03.2023 NAV 9.73 Perf.YTD -0.58%
    Share Class LO Funds - Asia Diversified High Yield Bond, Syst. NAV Hdg, Seed, (EUR) M D Currency EUR Date 27.03.2023 NAV 9.85 Perf.YTD -0.21%
    Share Class LO Funds - Asia Diversified High Yield Bond, Syst. NAV Hdg, Seed, (EUR) N A Currency EUR Date 27.03.2023 NAV 9.90 Perf.YTD -0.20%
    Share Class LO Funds - Asia Diversified High Yield Bond, Syst. NAV Hdg, Seed, (EUR) P D Currency EUR Date 27.03.2023 NAV 9.75 Perf.YTD -0.36%
    Share Class LO Funds - Asia Diversified High Yield Bond, Seed, (USD) I A Currency USD Date 27.03.2023 NAV 9.97 Perf.YTD 0.44%
    Share Class LO Funds - Asia Diversified High Yield Bond, Seed, (USD) I D Currency USD Date 27.03.2023 NAV 9.80 Perf.YTD 0.44%
    Share Class LO Funds - Asia Diversified High Yield Bond, Seed, (USD) M A Currency USD Date 27.03.2023 NAV 9.96 Perf.YTD 0.40%
    Share Class LO Funds - Asia Diversified High Yield Bond, Seed, (USD) M D Currency USD Date 27.03.2023 NAV 9.79 Perf.YTD 0.40%
    Share Class LO Funds - Asia Diversified High Yield Bond, Seed, (USD) N A Currency USD Date 27.03.2023 NAV 9.97 Perf.YTD 0.43%
    Share Class LO Funds - Asia Diversified High Yield Bond, Seed, (USD) N D Currency USD Date 27.03.2023 NAV 9.80 Perf.YTD 0.43%
    Share Class LO Funds - Asia Diversified High Yield Bond, Seed, (USD) P A Currency USD Date 27.03.2023 NAV 9.93 Perf.YTD 0.26%
    Share Class LO Funds - Asia Diversified High Yield Bond, Seed, (USD) P D Currency USD Date 27.03.2023 NAV 9.77 Perf.YTD 0.26%
    Funds LO Funds - Asia High Conviction 22 Asset Class Equities Category Emerging markets Strategy High Conviction
    Share Class Currency Date NAV Perf.YTD
    Share Class LO Funds - Asia High Conviction, Syst. NAV Hdg, (CHF) M A Currency CHF Date 27.03.2023 NAV 11.96 Perf.YTD -1.06%
    Share Class LO Funds - Asia High Conviction, Syst. NAV Hdg, (CHF) N A Currency CHF Date 27.03.2023 NAV 12.10 Perf.YTD -1.01%
    Share Class LO Funds - Asia High Conviction, Syst. NAV Hdg, (CHF) P A Currency CHF Date 27.03.2023 NAV 11.45 Perf.YTD -1.24%
    Share Class LO Funds - Asia High Conviction, Syst. NAV Hdg, X1, (CHF) M A Currency CHF Date 27.03.2023 NAV 12.13 Perf.YTD -0.94%
    Share Class LO Funds - Asia High Conviction, Syst. NAV Hdg, (EUR) M A Currency EUR Date 27.03.2023 NAV 12.23 Perf.YTD -0.77%
    Share Class LO Funds - Asia High Conviction, Syst. NAV Hdg, (EUR) M D Currency EUR Date 27.03.2023 NAV 12.11 Perf.YTD -0.77%
    Share Class LO Funds - Asia High Conviction, Syst. NAV Hdg, (EUR) N A Currency EUR Date 27.03.2023 NAV 12.35 Perf.YTD -0.72%
    Share Class LO Funds - Asia High Conviction, Syst. NAV Hdg, (EUR) P A Currency EUR Date 27.03.2023 NAV 11.72 Perf.YTD -0.95%
    Share Class LO Funds - Asia High Conviction, Syst. NAV Hdg, (EUR) P D Currency EUR Date 27.03.2023 NAV 11.72 Perf.YTD -0.95%
    Share Class LO Funds - Asia High Conviction, Syst. NAV Hdg, X1, (EUR) M A Currency EUR Date 27.03.2023 NAV 12.41 Perf.YTD -0.65%
    Share Class LO Funds - Asia High Conviction, X1, (EUR) I A Currency EUR Date 27.03.2023 NAV 8.01 Perf.YTD -0.94%
    Share Class LO Funds - Asia High Conviction, Syst. NAV Hdg, (GBP) M A Currency GBP Date 27.03.2023 NAV 9.55 Perf.YTD -0.30%
    Share Class LO Funds - Asia High Conviction, Syst. NAV Hdg, (GBP) N A Currency GBP Date 27.03.2023 NAV 9.58 Perf.YTD -0.26%
    Share Class LO Funds - Asia High Conviction, Syst. NAV Hdg, (JPY) N A Currency JPY Date 27.03.2023 NAV 8938.00 Perf.YTD -1.23%
    Share Class LO Funds - Asia High Conviction, (USD) I A Currency USD Date 27.03.2023 NAV 167.13 Perf.YTD -0.00%
    Share Class LO Funds - Asia High Conviction, (USD) M A Currency USD Date 27.03.2023 NAV 163.75 Perf.YTD -0.06%
    Share Class LO Funds - Asia High Conviction, (USD) M D Currency USD Date 27.03.2023 NAV 160.01 Perf.YTD -0.06%
    Share Class LO Funds - Asia High Conviction, (USD) N A Currency USD Date 27.03.2023 NAV 166.85 Perf.YTD -0.01%
    Share Class LO Funds - Asia High Conviction, (USD) N D Currency USD Date 27.03.2023 NAV 161.85 Perf.YTD -0.01%
    Share Class LO Funds - Asia High Conviction, (USD) P A Currency USD Date 27.03.2023 NAV 154.09 Perf.YTD -0.25%
    Share Class LO Funds - Asia High Conviction, X1, (USD) M A Currency USD Date 27.03.2023 NAV 166.51 Perf.YTD 0.06%
    Share Class LO Funds - Asia High Conviction, X1, (USD) M D Currency USD Date 27.03.2023 NAV 161.39 Perf.YTD 0.06%
    Funds LO Funds - Asia Income 2024 25 Asset Class Fixed Income Category Credit Strategy Buy and Maintain
    Share Class Currency Date NAV Perf.YTD
    Share Class LO Funds - Asia Income 2024, Syst. NAV Hdg, (CHF) I A Currency CHF Date 27.03.2023 NAV 8.06 Perf.YTD -1.20%
    Share Class LO Funds - Asia Income 2024, Syst. NAV Hdg, (CHF) I D Currency CHF Date 27.03.2023 NAV 6.89 Perf.YTD -1.20%
    Share Class LO Funds - Asia Income 2024, Syst. NAV Hdg, (CHF) M A Currency CHF Date 27.03.2023 NAV 8.03 Perf.YTD -1.23%
    Share Class LO Funds - Asia Income 2024, Syst. NAV Hdg, (CHF) M D Currency CHF Date 27.03.2023 NAV 6.91 Perf.YTD -1.23%
    Share Class LO Funds - Asia Income 2024, Syst. NAV Hdg, (CHF) N D Currency CHF Date 27.03.2023 NAV 6.90 Perf.YTD -1.21%
    Share Class LO Funds - Asia Income 2024, Syst. NAV Hdg, (CHF) P A Currency CHF Date 27.03.2023 NAV 7.99 Perf.YTD -1.29%
    Share Class LO Funds - Asia Income 2024, Syst. NAV Hdg, X1, (CHF) M A Currency CHF Date 27.03.2023 NAV 8.03 Perf.YTD -1.23%
    Share Class LO Funds - Asia Income 2024, Syst. NAV Hdg, (EUR) M A Currency EUR Date 27.03.2023 NAV 8.13 Perf.YTD -0.86%
    Share Class LO Funds - Asia Income 2024, Syst. NAV Hdg, (EUR) M D Currency EUR Date 27.03.2023 NAV 6.99 Perf.YTD -0.86%
    Share Class LO Funds - Asia Income 2024, Syst. NAV Hdg, (EUR) N A Currency EUR Date 27.03.2023 NAV 8.16 Perf.YTD -0.84%
    Share Class LO Funds - Asia Income 2024, Syst. NAV Hdg, (EUR) N D Currency EUR Date 27.03.2023 NAV 7.45 Perf.YTD -0.83%
    Share Class LO Funds - Asia Income 2024, Syst. NAV Hdg, (EUR) P A Currency EUR Date 27.03.2023 NAV 8.06 Perf.YTD -0.93%
    Share Class LO Funds - Asia Income 2024, Syst. NAV Hdg, (EUR) P D Currency EUR Date 27.03.2023 NAV 6.98 Perf.YTD -0.92%
    Share Class LO Funds - Asia Income 2024, Syst. NAV Hdg, X1, (EUR) M A Currency EUR Date 27.03.2023 NAV 8.13 Perf.YTD -0.86%
    Share Class LO Funds - Asia Income 2024, Syst. NAV Hdg, (GBP) M D Currency GBP Date 27.03.2023 NAV 7.20 Perf.YTD -0.47%
    Share Class LO Funds - Asia Income 2024, Syst. NAV Hdg, (GBP) N A Currency GBP Date 27.03.2023 NAV 8.42 Perf.YTD -0.44%
    Share Class LO Funds - Asia Income 2024, Syst. NAV Hdg, (JPY) N A Currency JPY Date 27.03.2023 NAV 8164.00 Perf.YTD -1.41%
    Share Class LO Funds - Asia Income 2024, (USD) I D Currency USD Date 27.03.2023 NAV 7.40 Perf.YTD -0.19%
    Share Class LO Funds - Asia Income 2024, (USD) M A Currency USD Date 27.03.2023 NAV 8.60 Perf.YTD -0.22%
    Share Class LO Funds - Asia Income 2024, (USD) M D Currency USD Date 27.03.2023 NAV 7.40 Perf.YTD -0.22%
    Share Class LO Funds - Asia Income 2024, (USD) N A Currency USD Date 27.03.2023 NAV 8.63 Perf.YTD -0.20%
    Share Class LO Funds - Asia Income 2024, (USD) N D Currency USD Date 27.03.2023 NAV 7.40 Perf.YTD -0.20%
    Share Class LO Funds - Asia Income 2024, (USD) P A Currency USD Date 27.03.2023 NAV 8.52 Perf.YTD -0.29%
    Share Class LO Funds - Asia Income 2024, (USD) P D Currency USD Date 27.03.2023 NAV 7.39 Perf.YTD -0.29%
    Share Class LO Funds - Asia Income 2024, X1, (USD) M A Currency USD Date 27.03.2023 NAV 8.61 Perf.YTD -0.22%
    1 2 3 4...9Next

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