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    1979 Tutti i fondi
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    Mostra 1979 del 1979 totale delle classi di azioni

    Scarica
    Fondi Strategia Classe di Attivi Categoria
    Fondi LO Funds - Asia Income 2024 21 Strategia Buy and Maintain Classe di Attivi Rendimento fisso Categoria Credito Share Classes 21
    Classe di quote Valuta Data NAV Perf. YTD
    Classe di quote LO Funds - Asia Income 2024, Syst. NAV Hdg, (CHF) I A Valuta CHF Data 20.01.2021 NAV 10.41 Perf. YTD -0.41%
    Classe di quote LO Funds - Asia Income 2024, Syst. NAV Hdg, (CHF) I D Valuta CHF Data 20.01.2021 NAV 10.01 Perf. YTD -0.41%
    Classe di quote LO Funds - Asia Income 2024, Syst. NAV Hdg, (CHF) M A Valuta CHF Data 20.01.2021 NAV 10.40 Perf. YTD -0.42%
    Classe di quote LO Funds - Asia Income 2024, Syst. NAV Hdg, (CHF) M D Valuta CHF Data 20.01.2021 NAV 10.02 Perf. YTD -0.42%
    Classe di quote LO Funds - Asia Income 2024, Syst. NAV Hdg, (CHF) N A Valuta CHF Data 20.01.2021 NAV 10.42 Perf. YTD -0.41%
    Classe di quote LO Funds - Asia Income 2024, Syst. NAV Hdg, (CHF) N D Valuta CHF Data 20.01.2021 NAV 10.02 Perf. YTD -0.41%
    Classe di quote LO Funds - Asia Income 2024, Syst. NAV Hdg, (EUR) M A Valuta EUR Data 20.01.2021 NAV 10.43 Perf. YTD -0.41%
    Classe di quote LO Funds - Asia Income 2024, Syst. NAV Hdg, (EUR) M D Valuta EUR Data 20.01.2021 NAV 10.05 Perf. YTD -0.41%
    Classe di quote LO Funds - Asia Income 2024, Syst. NAV Hdg, (EUR) N A Valuta EUR Data 20.01.2021 NAV 10.45 Perf. YTD -0.40%
    Classe di quote LO Funds - Asia Income 2024, Syst. NAV Hdg, (EUR) P A Valuta EUR Data 20.01.2021 NAV 10.40 Perf. YTD -0.42%
    Classe di quote LO Funds - Asia Income 2024, Syst. NAV Hdg, (EUR) P D Valuta EUR Data 20.01.2021 NAV 10.04 Perf. YTD -0.42%
    Classe di quote LO Funds - Asia Income 2024, Syst. NAV Hdg, (GBP) M D Valuta GBP Data 20.01.2021 NAV 10.10 Perf. YTD -0.36%
    Classe di quote LO Funds - Asia Income 2024, Syst. NAV Hdg, (GBP) N A Valuta GBP Data 20.01.2021 NAV 10.52 Perf. YTD -0.36%
    Classe di quote LO Funds - Asia Income 2024, Syst. NAV Hdg, (JPY) N A Valuta JPY Data 20.01.2021 NAV 10472.00 Perf. YTD -0.38%
    Classe di quote LO Funds - Asia Income 2024, (USD) I D Valuta USD Data 20.01.2021 NAV 10.24 Perf. YTD -0.35%
    Classe di quote LO Funds - Asia Income 2024, (USD) M A Valuta USD Data 20.01.2021 NAV 10.65 Perf. YTD -0.35%
    Classe di quote LO Funds - Asia Income 2024, (USD) M D Valuta USD Data 20.01.2021 NAV 10.25 Perf. YTD -0.35%
    Classe di quote LO Funds - Asia Income 2024, (USD) N A Valuta USD Data 20.01.2021 NAV 10.66 Perf. YTD -0.35%
    Classe di quote LO Funds - Asia Income 2024, (USD) N D Valuta USD Data 20.01.2021 NAV 10.25 Perf. YTD -0.35%
    Classe di quote LO Funds - Asia Income 2024, (USD) P A Valuta USD Data 20.01.2021 NAV 10.61 Perf. YTD -0.37%
    Classe di quote LO Funds - Asia Income 2024, (USD) P D Valuta USD Data 20.01.2021 NAV 10.24 Perf. YTD -0.37%
    Fondi LO Funds - Asia Investment Grade Bond 12 Strategia High Conviction Classe di Attivi Rendimento fisso Categoria Mercati emergenti Share Classes 12
    Classe di quote Valuta Data NAV Perf. YTD
    Classe di quote LO Funds - Asia Investment Grade Bond, Syst. NAV Hdg, (CHF) M A Valuta CHF Data 20.01.2021 NAV 10.40 Perf. YTD -0.59%
    Classe di quote LO Funds - Asia Investment Grade Bond, Syst. NAV Hdg, (EUR) M A Valuta EUR Data 20.01.2021 NAV 10.42 Perf. YTD -0.59%
    Classe di quote LO Funds - Asia Investment Grade Bond, Syst. NAV Hdg, (EUR) M D Valuta EUR Data 20.01.2021 NAV 10.34 Perf. YTD -0.58%
    Classe di quote LO Funds - Asia Investment Grade Bond, Syst. NAV Hdg, (EUR) N A Valuta EUR Data 20.01.2021 NAV 10.42 Perf. YTD -0.58%
    Classe di quote LO Funds - Asia Investment Grade Bond, Syst. NAV Hdg, X1, (EUR) I A Valuta EUR Data 20.01.2021 NAV 10.72 Perf. YTD -0.56%
    Classe di quote LO Funds - Asia Investment Grade Bond, Syst. NAV Hdg, (SGD) P A Valuta SGD Data 20.01.2021 NAV 107.06 Perf. YTD -0.56%
    Classe di quote LO Funds - Asia Investment Grade Bond, (USD) M A Valuta USD Data 20.01.2021 NAV 10.88 Perf. YTD -0.52%
    Classe di quote LO Funds - Asia Investment Grade Bond, (USD) M D Valuta USD Data 20.01.2021 NAV 10.81 Perf. YTD -0.52%
    Classe di quote LO Funds - Asia Investment Grade Bond, (USD) N A Valuta USD Data 20.01.2021 NAV 10.89 Perf. YTD -0.52%
    Classe di quote LO Funds - Asia Investment Grade Bond, (USD) N D Valuta USD Data 20.01.2021 NAV 10.63 Perf. YTD -0.51%
    Classe di quote LO Funds - Asia Investment Grade Bond, (USD) P A Valuta USD Data 20.01.2021 NAV 10.84 Perf. YTD -0.54%
    Classe di quote LO Funds - Asia Investment Grade Bond, (USD) P D Valuta USD Data 20.01.2021 NAV 10.78 Perf. YTD -0.54%
    Fondi LO Funds - Asia Value Bond 48 Strategia Asia Fixed Income Classe di Attivi Rendimento fisso Categoria Credito Share Classes 48
    Classe di quote Valuta Data NAV Perf. YTD
    Classe di quote LO Funds - Asia Value Bond, Syst. NAV Hdg, (AUD) N A Valuta AUD Data 20.01.2021 NAV 103.26 Perf. YTD -0.61%
    Classe di quote LO Funds - Asia Value Bond, Syst. NAV Hdg, (AUD) N D Valuta AUD Data 20.01.2021 NAV 100.11 Perf. YTD -0.61%
    Classe di quote LO Funds - Asia Value Bond, Syst. NAV Hdg, (CHF) I A Valuta CHF Data 20.01.2021 NAV 12.08 Perf. YTD -0.65%
    Classe di quote LO Funds - Asia Value Bond, Syst. NAV Hdg, (CHF) M A Valuta CHF Data 20.01.2021 NAV 11.93 Perf. YTD -0.67%
    Classe di quote LO Funds - Asia Value Bond, Syst. NAV Hdg, (CHF) M D Valuta CHF Data 20.01.2021 NAV 10.26 Perf. YTD -0.67%
    Classe di quote LO Funds - Asia Value Bond, Syst. NAV Hdg, (CHF) N A Valuta CHF Data 20.01.2021 NAV 12.06 Perf. YTD -0.65%
    Classe di quote LO Funds - Asia Value Bond, Syst. NAV Hdg, (CHF) N D Valuta CHF Data 20.01.2021 NAV 10.52 Perf. YTD -0.65%
    Classe di quote LO Funds - Asia Value Bond, Syst. NAV Hdg, (CHF) P A Valuta CHF Data 20.01.2021 NAV 11.83 Perf. YTD -0.69%
    Classe di quote LO Funds - Asia Value Bond, Syst. NAV Hdg, X1, (CHF) I D Valuta CHF Data 20.01.2021 NAV 104.67 Perf. YTD -0.64%
    Classe di quote LO Funds - Asia Value Bond, Syst. NAV Hdg, X1, (CHF) M A Valuta CHF Data 20.01.2021 NAV 11.99 Perf. YTD -0.65%
    Classe di quote LO Funds - Asia Value Bond, Syst. NAV Hdg, X1, (CHF) M D Valuta CHF Data 20.01.2021 NAV 11.73 Perf. YTD -0.65%
    Classe di quote LO Funds - Asia Value Bond, Syst. NAV Hdg, (EUR) I A Valuta EUR Data 20.01.2021 NAV 139.37 Perf. YTD -0.64%
    Classe di quote LO Funds - Asia Value Bond, Syst. NAV Hdg, (EUR) I D Valuta EUR Data 20.01.2021 NAV 134.89 Perf. YTD -0.64%
    Classe di quote LO Funds - Asia Value Bond, Syst. NAV Hdg, (EUR) M A Valuta EUR Data 20.01.2021 NAV 136.96 Perf. YTD -0.66%
    Classe di quote LO Funds - Asia Value Bond, Syst. NAV Hdg, (EUR) M D Valuta EUR Data 20.01.2021 NAV 117.28 Perf. YTD -0.66%
    Classe di quote LO Funds - Asia Value Bond, Syst. NAV Hdg, (EUR) N A Valuta EUR Data 20.01.2021 NAV 138.87 Perf. YTD -0.64%
    Classe di quote LO Funds - Asia Value Bond, Syst. NAV Hdg, (EUR) N D Valuta EUR Data 20.01.2021 NAV 127.28 Perf. YTD -0.64%
    Classe di quote LO Funds - Asia Value Bond, Syst. NAV Hdg, (EUR) P A Valuta EUR Data 20.01.2021 NAV 135.28 Perf. YTD -0.67%
    Classe di quote LO Funds - Asia Value Bond, Syst. NAV Hdg, (EUR) P D Valuta EUR Data 20.01.2021 NAV 117.96 Perf. YTD -0.67%
    Classe di quote LO Funds - Asia Value Bond, Syst. NAV Hdg, (EUR) S A Valuta EUR Data 20.01.2021 NAV 142.40 Perf. YTD -0.61%
    Classe di quote LO Funds - Asia Value Bond, Syst. NAV Hdg, X1, (EUR) I D Valuta EUR Data 20.01.2021 NAV 101.83 Perf. YTD -0.63%
    Classe di quote LO Funds - Asia Value Bond, Syst. NAV Hdg, X1, (EUR) M A Valuta EUR Data 20.01.2021 NAV 137.61 Perf. YTD -0.64%
    Classe di quote LO Funds - Asia Value Bond, Syst. NAV Hdg, X1, (EUR) M D Valuta EUR Data 20.01.2021 NAV 125.31 Perf. YTD -0.64%
    Classe di quote LO Funds - Asia Value Bond, Syst. NAV Hdg, (GBP) M A Valuta GBP Data 20.01.2021 NAV 124.73 Perf. YTD -0.61%
    Classe di quote LO Funds - Asia Value Bond, Syst. NAV Hdg, (GBP) M D Valuta GBP Data 20.01.2021 NAV 106.78 Perf. YTD -0.61%
    Classe di quote LO Funds - Asia Value Bond, Syst. NAV Hdg, (GBP) N A Valuta GBP Data 20.01.2021 NAV 125.98 Perf. YTD -0.60%
    Classe di quote LO Funds - Asia Value Bond, Syst. NAV Hdg, (GBP) N D Valuta GBP Data 20.01.2021 NAV 111.79 Perf. YTD -0.60%
    Classe di quote LO Funds - Asia Value Bond, Syst. NAV Hdg, X1, (GBP) M D Valuta GBP Data 20.01.2021 NAV 112.37 Perf. YTD -0.60%
    Classe di quote LO Funds - Asia Value Bond, Syst. NAV Hdg, (JPY) I D Valuta JPY Data 20.01.2021 NAV 10900.00 Perf. YTD -0.61%
    Classe di quote LO Funds - Asia Value Bond, Syst. NAV Hdg, (JPY) N A Valuta JPY Data 20.01.2021 NAV 12570.00 Perf. YTD -0.62%
    Classe di quote LO Funds - Asia Value Bond, Syst. NAV Hdg, (JPY) P A Valuta JPY Data 20.01.2021 NAV 12445.00 Perf. YTD -0.65%
    Classe di quote LO Funds - Asia Value Bond, Syst. NAV Hdg, (SGD) N A Valuta SGD Data 20.01.2021 NAV 107.36 Perf. YTD -0.61%
    Classe di quote LO Funds - Asia Value Bond, Syst. NAV Hdg, (SGD) N D2 Valuta SGD Data 20.01.2021 NAV 102.62 Perf. YTD -0.61%
    Classe di quote LO Funds - Asia Value Bond, Syst. NAV Hdg, (SGD) P A Valuta SGD Data 20.01.2021 NAV 106.98 Perf. YTD -0.65%
    Classe di quote LO Funds - Asia Value Bond, Syst. NAV Hdg, (SGD) P D3 Valuta SGD Data 20.01.2021 NAV 104.40 Perf. YTD -0.64%
    Classe di quote LO Funds - Asia Value Bond, (USD) I A Valuta USD Data 20.01.2021 NAV 170.51 Perf. YTD -0.58%
    Classe di quote LO Funds - Asia Value Bond, (USD) I D Valuta USD Data 20.01.2021 NAV 161.22 Perf. YTD -0.58%
    Classe di quote LO Funds - Asia Value Bond, (USD) M A Valuta USD Data 20.01.2021 NAV 167.39 Perf. YTD -0.60%
    Classe di quote LO Funds - Asia Value Bond, (USD) M D Valuta USD Data 20.01.2021 NAV 139.06 Perf. YTD -0.60%
    Classe di quote LO Funds - Asia Value Bond, (USD) N A Valuta USD Data 20.01.2021 NAV 170.27 Perf. YTD -0.59%
    Classe di quote LO Funds - Asia Value Bond, (USD) N D Valuta USD Data 20.01.2021 NAV 145.16 Perf. YTD -0.59%
    Classe di quote LO Funds - Asia Value Bond, (USD) P A Valuta USD Data 20.01.2021 NAV 164.29 Perf. YTD -0.62%
    Classe di quote LO Funds - Asia Value Bond, (USD) P D Valuta USD Data 20.01.2021 NAV 136.89 Perf. YTD -0.62%
    Classe di quote LO Funds - Asia Value Bond, (USD) P D3 Valuta USD Data 20.01.2021 NAV 139.99 Perf. YTD -0.62%
    Classe di quote LO Funds - Asia Value Bond, (USD) S A Valuta USD Data 20.01.2021 NAV 170.85 Perf. YTD -0.55%
    Classe di quote LO Funds - Asia Value Bond, X1, (USD) I A Valuta USD Data 20.01.2021 NAV 170.78 Perf. YTD -0.58%
    Classe di quote LO Funds - Asia Value Bond, X1, (USD) M A Valuta USD Data 20.01.2021 NAV 168.04 Perf. YTD -0.58%
    Classe di quote LO Funds - Asia Value Bond, X1, (USD) M D Valuta USD Data 20.01.2021 NAV 141.22 Perf. YTD -0.58%
    Fondi LO Funds - China High Conviction 38 Strategia High Conviction Classe di Attivi Azioni Categoria Mercati emergenti Share Classes 38
    Classe di quote Valuta Data NAV Perf. YTD
    Classe di quote LO Funds - China High Conviction, Syst. NAV Hdg, (CHF) M A Valuta CHF Data 20.01.2021 NAV 12.81 Perf. YTD 11.02%
    Classe di quote LO Funds - China High Conviction, Syst. NAV Hdg, (CHF) P A Valuta CHF Data 20.01.2021 NAV 12.80 Perf. YTD 10.97%
    Classe di quote LO Funds - China High Conviction, Syst. NAV Hdg, Seed, (CHF) M A Valuta CHF Data 20.01.2021 NAV 12.83 Perf. YTD 11.04%
    Classe di quote LO Funds - China High Conviction, Syst. NAV Hdg, Seed, (CHF) M D Valuta CHF Data 20.01.2021 NAV 12.83 Perf. YTD 11.04%
    Classe di quote LO Funds - China High Conviction, Syst. NAV Hdg, Seed, (CHF) P A Valuta CHF Data 20.01.2021 NAV 12.79 Perf. YTD 11.00%
    Classe di quote LO Funds - China High Conviction, (EUR) M A Valuta EUR Data 20.01.2021 NAV 10.03 Perf. YTD 12.28%
    Classe di quote LO Funds - China High Conviction, (EUR) M D Valuta EUR Data 20.01.2021 NAV 8.30 Perf. YTD 12.27%
    Classe di quote LO Funds - China High Conviction, (EUR) N A Valuta EUR Data 20.01.2021 NAV 10.29 Perf. YTD 12.29%
    Classe di quote LO Funds - China High Conviction, (EUR) P A Valuta EUR Data 20.01.2021 NAV 9.55 Perf. YTD 12.23%
    Classe di quote LO Funds - China High Conviction, Seed, (EUR) M A Valuta EUR Data 20.01.2021 NAV 10.04 Perf. YTD 12.30%
    Classe di quote LO Funds - China High Conviction, Seed, (EUR) M D Valuta EUR Data 20.01.2021 NAV 8.31 Perf. YTD 12.30%
    Classe di quote LO Funds - China High Conviction, Seed, (EUR) N A Valuta EUR Data 20.01.2021 NAV 10.31 Perf. YTD 12.31%
    Classe di quote LO Funds - China High Conviction, Seed, (EUR) P A Valuta EUR Data 20.01.2021 NAV 9.56 Perf. YTD 12.26%
    Classe di quote LO Funds - China High Conviction, Seed, (EUR) P D Valuta EUR Data 20.01.2021 NAV 7.82 Perf. YTD 12.26%
    Classe di quote LO Funds - China High Conviction, Seed, (EUR) R A Valuta EUR Data 20.01.2021 NAV 8.51 Perf. YTD 12.21%
    Classe di quote LO Funds - China High Conviction, Syst. NAV Hdg, (EUR) M A Valuta EUR Data 20.01.2021 NAV 12.82 Perf. YTD 11.03%
    Classe di quote LO Funds - China High Conviction, Syst. NAV Hdg, (EUR) M D Valuta EUR Data 20.01.2021 NAV 12.82 Perf. YTD 11.03%
    Classe di quote LO Funds - China High Conviction, Syst. NAV Hdg, (EUR) P A Valuta EUR Data 20.01.2021 NAV 12.78 Perf. YTD 10.99%
    Classe di quote LO Funds - China High Conviction, Syst. NAV Hdg, Seed, (EUR) M A Valuta EUR Data 20.01.2021 NAV 12.84 Perf. YTD 11.06%
    Classe di quote LO Funds - China High Conviction, Syst. NAV Hdg, Seed, (EUR) M D Valuta EUR Data 20.01.2021 NAV 12.84 Perf. YTD 11.06%
    Classe di quote LO Funds - China High Conviction, Syst. NAV Hdg, Seed, (EUR) P A Valuta EUR Data 20.01.2021 NAV 12.80 Perf. YTD 11.02%
    Classe di quote LO Funds - China High Conviction, Syst. NAV Hdg, (GBP) M A Valuta GBP Data 20.01.2021 NAV 12.84 Perf. YTD 11.07%
    Classe di quote LO Funds - China High Conviction, Syst. NAV Hdg, Seed, (GBP) M A Valuta GBP Data 20.01.2021 NAV 12.85 Perf. YTD 11.09%
    Classe di quote LO Funds - China High Conviction, Syst. NAV Hdg, (JPY) N A Valuta JPY Data 20.01.2021 NAV 12788.00 Perf. YTD 11.06%
    Classe di quote LO Funds - China High Conviction, Syst. NAV Hdg, Seed, (JPY) N A Valuta JPY Data 20.01.2021 NAV 12803.00 Perf. YTD 11.07%
    Classe di quote LO Funds - China High Conviction, (USD) I A Valuta USD Data 20.01.2021 NAV 8.97 Perf. YTD 11.09%
    Classe di quote LO Funds - China High Conviction, (USD) M A Valuta USD Data 20.01.2021 NAV 8.48 Perf. YTD 11.08%
    Classe di quote LO Funds - China High Conviction, (USD) M D Valuta USD Data 20.01.2021 NAV 6.87 Perf. YTD 11.08%
    Classe di quote LO Funds - China High Conviction, (USD) N A Valuta USD Data 20.01.2021 NAV 8.96 Perf. YTD 11.09%
    Classe di quote LO Funds - China High Conviction, (USD) P A Valuta USD Data 20.01.2021 NAV 8.08 Perf. YTD 11.04%
    Classe di quote LO Funds - China High Conviction, (USD) P D Valuta USD Data 20.01.2021 NAV 8.08 Perf. YTD 11.04%
    Classe di quote LO Funds - China High Conviction, Seed, (USD) I A Valuta USD Data 20.01.2021 NAV 8.99 Perf. YTD 11.11%
    Classe di quote LO Funds - China High Conviction, Seed, (USD) M A Valuta USD Data 20.01.2021 NAV 8.50 Perf. YTD 11.10%
    Classe di quote LO Funds - China High Conviction, Seed, (USD) M D Valuta USD Data 20.01.2021 NAV 6.64 Perf. YTD 11.10%
    Classe di quote LO Funds - China High Conviction, Seed, (USD) N A Valuta USD Data 20.01.2021 NAV 8.98 Perf. YTD 11.11%
    Classe di quote LO Funds - China High Conviction, Seed, (USD) P A Valuta USD Data 20.01.2021 NAV 8.09 Perf. YTD 11.06%
    Classe di quote LO Funds - China High Conviction, Seed, (USD) P D Valuta USD Data 20.01.2021 NAV 6.64 Perf. YTD 11.06%
    Classe di quote LO Funds - China High Conviction, X1, Seed, (USD) M D Valuta USD Data 20.01.2021 NAV 6.89 Perf. YTD 11.12%
    Fondi LO Funds - Climate Transition 52 Strategia High Conviction Classe di Attivi Azioni Categoria Sustainable Thematics Share Classes 52
    Classe di quote Valuta Data NAV Perf. YTD
    Classe di quote LO Funds - Climate Transition, Syst. NAV Hdg, (CHF) I A Valuta CHF Data 20.01.2021 NAV 16.24 Perf. YTD 2.29%
    Classe di quote LO Funds - Climate Transition, Syst. NAV Hdg, (CHF) M A Valuta CHF Data 20.01.2021 NAV 16.22 Perf. YTD 2.27%
    Classe di quote LO Funds - Climate Transition, Syst. NAV Hdg, (CHF) M D Valuta CHF Data 20.01.2021 NAV 16.22 Perf. YTD 2.27%
    Classe di quote LO Funds - Climate Transition, Syst. NAV Hdg, (CHF) N A Valuta CHF Data 20.01.2021 NAV 16.24 Perf. YTD 2.28%
    Classe di quote LO Funds - Climate Transition, Syst. NAV Hdg, (CHF) N D Valuta CHF Data 20.01.2021 NAV 16.24 Perf. YTD 2.28%
    Classe di quote LO Funds - Climate Transition, Syst. NAV Hdg, (CHF) P A Valuta CHF Data 20.01.2021 NAV 16.13 Perf. YTD 2.23%
    Classe di quote LO Funds - Climate Transition, Syst. NAV Hdg, (CHF) P D Valuta CHF Data 20.01.2021 NAV 16.13 Perf. YTD 2.24%
    Classe di quote LO Funds - Climate Transition, Syst. NAV Hdg, Seed, (CHF) I A Valuta CHF Data 20.01.2021 NAV 16.30 Perf. YTD 2.31%
    Classe di quote LO Funds - Climate Transition, Syst. NAV Hdg, Seed, (CHF) M A Valuta CHF Data 20.01.2021 NAV 16.28 Perf. YTD 2.30%
    Classe di quote LO Funds - Climate Transition, Syst. NAV Hdg, Seed, (CHF) M D Valuta CHF Data 20.01.2021 NAV 16.28 Perf. YTD 2.30%
    Classe di quote LO Funds - Climate Transition, Syst. NAV Hdg, Seed, (CHF) N A Valuta CHF Data 20.01.2021 NAV 16.29 Perf. YTD 2.30%
    Classe di quote LO Funds - Climate Transition, Syst. NAV Hdg, Seed, (CHF) P A Valuta CHF Data 20.01.2021 NAV 16.19 Perf. YTD 2.26%
    Classe di quote LO Funds - Climate Transition, Syst. NAV Hdg, Seed, (CHF) P D Valuta CHF Data 20.01.2021 NAV 16.19 Perf. YTD 2.26%
    Classe di quote LO Funds - Climate Transition, Syst. NAV Hdg, X1, (CHF) M A Valuta CHF Data 20.01.2021 NAV 16.26 Perf. YTD 2.30%
    Classe di quote LO Funds - Climate Transition, Syst. NAV Hdg, (EUR) M A Valuta EUR Data 20.01.2021 NAV 16.24 Perf. YTD 2.28%
    Classe di quote LO Funds - Climate Transition, Syst. NAV Hdg, (EUR) M D Valuta EUR Data 20.01.2021 NAV 16.24 Perf. YTD 2.28%
    Classe di quote LO Funds - Climate Transition, Syst. NAV Hdg, (EUR) N A Valuta EUR Data 20.01.2021 NAV 16.26 Perf. YTD 2.29%
    Classe di quote LO Funds - Climate Transition, Syst. NAV Hdg, (EUR) P A Valuta EUR Data 20.01.2021 NAV 16.17 Perf. YTD 2.24%
    Classe di quote LO Funds - Climate Transition, Syst. NAV Hdg, Seed, (EUR) M A Valuta EUR Data 20.01.2021 NAV 16.30 Perf. YTD 2.30%
    Classe di quote LO Funds - Climate Transition, Syst. NAV Hdg, Seed, (EUR) M D Valuta EUR Data 20.01.2021 NAV 16.30 Perf. YTD 2.30%
    Classe di quote LO Funds - Climate Transition, Syst. NAV Hdg, Seed, (EUR) N A Valuta EUR Data 20.01.2021 NAV 16.32 Perf. YTD 2.31%
    Classe di quote LO Funds - Climate Transition, Syst. NAV Hdg, Seed, (EUR) N D Valuta EUR Data 20.01.2021 NAV 16.32 Perf. YTD 2.31%
    Classe di quote LO Funds - Climate Transition, Syst. NAV Hdg, Seed, (EUR) P A Valuta EUR Data 20.01.2021 NAV 16.21 Perf. YTD 2.26%
    Classe di quote LO Funds - Climate Transition, Syst. NAV Hdg, X1, (EUR) M A Valuta EUR Data 20.01.2021 NAV 16.30 Perf. YTD 2.31%
    Classe di quote LO Funds - Climate Transition, Syst. NAV Hdg, X1, (EUR) M D Valuta EUR Data 20.01.2021 NAV 16.30 Perf. YTD 2.31%
    Classe di quote LO Funds - Climate Transition, Syst. NAV Hdg, X1, Seed, (EUR) M A Valuta EUR Data 20.01.2021 NAV 16.32 Perf. YTD 2.31%
    Classe di quote LO Funds - Climate Transition, Syst. NAV Hdg, X1, Seed, (EUR) M D Valuta EUR Data 20.01.2021 NAV 16.32 Perf. YTD 2.31%
    Classe di quote LO Funds - Climate Transition, X1, (EUR) I D Valuta EUR Data 20.01.2021 NAV 10.60 Perf. YTD 3.46%
    Classe di quote LO Funds - Climate Transition, Syst. NAV Hdg, (GBP) I A Valuta GBP Data 20.01.2021 NAV 16.30 Perf. YTD 2.30%
    Classe di quote LO Funds - Climate Transition, Syst. NAV Hdg, (GBP) P A Valuta GBP Data 20.01.2021 NAV 16.30 Perf. YTD 2.28%
    Classe di quote LO Funds - Climate Transition, Syst. NAV Hdg, Seed, (GBP) M A Valuta GBP Data 20.01.2021 NAV 16.31 Perf. YTD 2.31%
    Classe di quote LO Funds - Climate Transition, Syst. NAV Hdg, Seed, (GBP) M D Valuta GBP Data 20.01.2021 NAV 16.31 Perf. YTD 2.31%
    Classe di quote LO Funds - Climate Transition, Syst. NAV Hdg, X1, (GBP) M D Valuta GBP Data 20.01.2021 NAV 16.31 Perf. YTD 2.32%
    Classe di quote LO Funds - Climate Transition, Syst. NAV Hdg, X1, Seed, (GBP) M D Valuta GBP Data 20.01.2021 NAV 16.33 Perf. YTD 2.32%
    Classe di quote LO Funds - Climate Transition, Syst. NAV Hdg, X1, (JPY) I D Valuta JPY Data 20.01.2021 NAV 10611.00 Perf. YTD 2.33%
    Classe di quote LO Funds - Climate Transition, Syst. NAV Hdg, (SGD) M A Valuta SGD Data 20.01.2021 NAV 11.28 Perf. YTD 2.33%
    Classe di quote LO Funds - Climate Transition, (USD) I A Valuta USD Data 20.01.2021 NAV 16.55 Perf. YTD 2.34%
    Classe di quote LO Funds - Climate Transition, (USD) M A Valuta USD Data 20.01.2021 NAV 16.52 Perf. YTD 2.33%
    Classe di quote LO Funds - Climate Transition, (USD) M D Valuta USD Data 20.01.2021 NAV 16.52 Perf. YTD 2.33%
    Classe di quote LO Funds - Climate Transition, (USD) N A Valuta USD Data 20.01.2021 NAV 16.54 Perf. YTD 2.34%
    Classe di quote LO Funds - Climate Transition, (USD) P A Valuta USD Data 20.01.2021 NAV 16.43 Perf. YTD 2.29%
    Classe di quote LO Funds - Climate Transition, (USD) S A Valuta USD Data 20.01.2021 NAV 16.66 Perf. YTD 2.39%
    Classe di quote LO Funds - Climate Transition, Seed, (USD) I A Valuta USD Data 20.01.2021 NAV 16.60 Perf. YTD 2.36%
    Classe di quote LO Funds - Climate Transition, Seed, (USD) M A Valuta USD Data 20.01.2021 NAV 16.58 Perf. YTD 2.35%
    Classe di quote LO Funds - Climate Transition, Seed, (USD) M D Valuta USD Data 20.01.2021 NAV 16.58 Perf. YTD 2.35%
    Classe di quote LO Funds - Climate Transition, Seed, (USD) N A Valuta USD Data 20.01.2021 NAV 16.60 Perf. YTD 2.36%
    Classe di quote LO Funds - Climate Transition, Seed, (USD) N D Valuta USD Data 20.01.2021 NAV 16.60 Perf. YTD 2.36%
    Classe di quote LO Funds - Climate Transition, Seed, (USD) P A Valuta USD Data 20.01.2021 NAV 16.49 Perf. YTD 2.31%
    Classe di quote LO Funds - Climate Transition, X1, (USD) M A Valuta USD Data 20.01.2021 NAV 16.59 Perf. YTD 2.36%
    Classe di quote LO Funds - Climate Transition, X1, (USD) M D Valuta USD Data 20.01.2021 NAV 16.59 Perf. YTD 2.36%
    Classe di quote LO Funds - Climate Transition, X1, Seed, (USD) M A Valuta USD Data 20.01.2021 NAV 16.60 Perf. YTD 2.36%
    Classe di quote LO Funds - Climate Transition, X1, Seed, (USD) M D Valuta USD Data 20.01.2021 NAV 16.60 Perf. YTD 2.36%
    Fondi LO Funds - Commodity Risk Premia 20 Strategia Liquid Alternatives Strategies Classe di Attivi Alternatives Categoria - Share Classes 20
    Classe di quote Valuta Data NAV Perf. YTD
    Classe di quote LO Funds - Commodity Risk Premia, Syst. NAV Hdg, (CHF) I A Valuta CHF Data 20.01.2021 NAV 5.21 Perf. YTD 2.20%
    Classe di quote LO Funds - Commodity Risk Premia, Syst. NAV Hdg, (CHF) M A Valuta CHF Data 20.01.2021 NAV 5.05 Perf. YTD 2.19%
    Classe di quote LO Funds - Commodity Risk Premia, Syst. NAV Hdg, (CHF) M D Valuta CHF Data 20.01.2021 NAV 4.95 Perf. YTD 2.19%
    Classe di quote LO Funds - Commodity Risk Premia, Syst. NAV Hdg, (CHF) N A Valuta CHF Data 20.01.2021 NAV 5.20 Perf. YTD 2.20%
    Classe di quote LO Funds - Commodity Risk Premia, Syst. NAV Hdg, (CHF) P A Valuta CHF Data 20.01.2021 NAV 4.78 Perf. YTD 2.15%
    Classe di quote LO Funds - Commodity Risk Premia, (EUR) N A Valuta EUR Data 20.01.2021 NAV 10.11 Perf. YTD 3.38%
    Classe di quote LO Funds - Commodity Risk Premia, Syst. NAV Hdg, (EUR) M A Valuta EUR Data 20.01.2021 NAV 5.14 Perf. YTD 2.21%
    Classe di quote LO Funds - Commodity Risk Premia, Syst. NAV Hdg, (EUR) N A Valuta EUR Data 20.01.2021 NAV 5.34 Perf. YTD 2.22%
    Classe di quote LO Funds - Commodity Risk Premia, Syst. NAV Hdg, (EUR) N D Valuta EUR Data 20.01.2021 NAV 5.34 Perf. YTD 2.22%
    Classe di quote LO Funds - Commodity Risk Premia, Syst. NAV Hdg, (EUR) P A Valuta EUR Data 20.01.2021 NAV 4.92 Perf. YTD 2.17%
    Classe di quote LO Funds - Commodity Risk Premia, Syst. NAV Hdg, (EUR) R A Valuta EUR Data 20.01.2021 NAV 4.61 Perf. YTD 2.12%
    Classe di quote LO Funds - Commodity Risk Premia, Syst. NAV Hdg, (EUR) S A Valuta EUR Data 20.01.2021 NAV 5.68 Perf. YTD 2.27%
    Classe di quote LO Funds - Commodity Risk Premia, Syst. NAV Hdg, X1, (EUR) M A Valuta EUR Data 20.01.2021 NAV 5.17 Perf. YTD 2.23%
    Classe di quote LO Funds - Commodity Risk Premia, Syst. NAV Hdg, (GBP) N D Valuta GBP Data 20.01.2021 NAV 7.12 Perf. YTD 2.26%
    Classe di quote LO Funds - Commodity Risk Premia, (USD) M A Valuta USD Data 20.01.2021 NAV 6.22 Perf. YTD 2.27%
    Classe di quote LO Funds - Commodity Risk Premia, (USD) M D Valuta USD Data 20.01.2021 NAV 6.11 Perf. YTD 2.27%
    Classe di quote LO Funds - Commodity Risk Premia, (USD) N A Valuta USD Data 20.01.2021 NAV 6.26 Perf. YTD 2.28%
    Classe di quote LO Funds - Commodity Risk Premia, (USD) P A Valuta USD Data 20.01.2021 NAV 5.76 Perf. YTD 2.23%
    Classe di quote LO Funds - Commodity Risk Premia, X1, (USD) I D Valuta USD Data 20.01.2021 NAV 10.35 Perf. YTD 2.32%
    Classe di quote LO Funds - Commodity Risk Premia, X1, (USD) M A Valuta USD Data 20.01.2021 NAV 6.26 Perf. YTD 2.30%
    Fondi LO Funds - Continental Europe Family Leaders 11 Strategia High Conviction Classe di Attivi Azioni Categoria Europa Share Classes 11
    Classe di quote Valuta Data NAV Perf. YTD
    Classe di quote LO Funds - Continental Europe Family Leaders, (EUR) I A Valuta EUR Data 20.01.2021 NAV 13.18 Perf. YTD 2.16%
    Classe di quote LO Funds - Continental Europe Family Leaders, (EUR) M A Valuta EUR Data 20.01.2021 NAV 13.09 Perf. YTD 2.15%
    Classe di quote LO Funds - Continental Europe Family Leaders, (EUR) M D Valuta EUR Data 20.01.2021 NAV 12.99 Perf. YTD 2.15%
    Classe di quote LO Funds - Continental Europe Family Leaders, (EUR) N A Valuta EUR Data 20.01.2021 NAV 13.15 Perf. YTD 2.16%
    Classe di quote LO Funds - Continental Europe Family Leaders, (EUR) N D Valuta EUR Data 20.01.2021 NAV 13.02 Perf. YTD 2.16%
    Classe di quote LO Funds - Continental Europe Family Leaders, (EUR) P A Valuta EUR Data 20.01.2021 NAV 12.77 Perf. YTD 2.10%
    Classe di quote LO Funds - Continental Europe Family Leaders, (EUR) P D Valuta EUR Data 20.01.2021 NAV 12.77 Perf. YTD 2.11%
    Classe di quote LO Funds - Continental Europe Family Leaders, (EUR) R A Valuta EUR Data 20.01.2021 NAV 12.45 Perf. YTD 2.07%
    Classe di quote LO Funds - Continental Europe Family Leaders, (EUR) S A Valuta EUR Data 20.01.2021 NAV 13.71 Perf. YTD 2.22%
    Classe di quote LO Funds - Continental Europe Family Leaders, X1, (EUR) M A Valuta EUR Data 20.01.2021 NAV 13.07 Perf. YTD 2.18%
    Classe di quote LO Funds - Continental Europe Family Leaders, X1, (EUR) M D Valuta EUR Data 20.01.2021 NAV 12.98 Perf. YTD 2.18%
    Fondi LO Funds - Continental Europe Small & Mid Leaders 13 Strategia High Conviction Classe di Attivi Azioni Categoria Europa Share Classes 13
    Classe di quote Valuta Data NAV Perf. YTD
    Classe di quote LO Funds - Continental Europe Small & Mid Leaders, (EUR) I A Valuta EUR Data 20.01.2021 NAV 87.75 Perf. YTD 3.17%
    Classe di quote LO Funds - Continental Europe Small & Mid Leaders, (EUR) M A Valuta EUR Data 20.01.2021 NAV 82.63 Perf. YTD 3.15%
    Classe di quote LO Funds - Continental Europe Small & Mid Leaders, (EUR) M D Valuta EUR Data 20.01.2021 NAV 79.90 Perf. YTD 3.15%
    Classe di quote LO Funds - Continental Europe Small & Mid Leaders, (EUR) N A Valuta EUR Data 20.01.2021 NAV 87.62 Perf. YTD 3.16%
    Classe di quote LO Funds - Continental Europe Small & Mid Leaders, (EUR) N D Valuta EUR Data 20.01.2021 NAV 80.27 Perf. YTD 3.16%
    Classe di quote LO Funds - Continental Europe Small & Mid Leaders, (EUR) P A Valuta EUR Data 20.01.2021 NAV 77.40 Perf. YTD 3.11%
    Classe di quote LO Funds - Continental Europe Small & Mid Leaders, (EUR) P D Valuta EUR Data 20.01.2021 NAV 76.44 Perf. YTD 3.11%
    Classe di quote LO Funds - Continental Europe Small & Mid Leaders, (EUR) R A Valuta EUR Data 20.01.2021 NAV 71.35 Perf. YTD 3.07%
    Classe di quote LO Funds - Continental Europe Small & Mid Leaders, (EUR) S A Valuta EUR Data 20.01.2021 NAV 96.71 Perf. YTD 3.22%
    Classe di quote LO Funds - Continental Europe Small & Mid Leaders, X1, (EUR) M A Valuta EUR Data 20.01.2021 NAV 83.40 Perf. YTD 3.19%
    Classe di quote LO Funds - Continental Europe Small & Mid Leaders, X1, (EUR) M D Valuta EUR Data 20.01.2021 NAV 80.71 Perf. YTD 3.19%
    Classe di quote LO Funds - Continental Europe Small & Mid Leaders, Syst. NAV Hdg, (USD) M A Valuta USD Data 20.01.2021 NAV 17.68 Perf. YTD 3.19%
    Classe di quote LO Funds - Continental Europe Small & Mid Leaders, Syst. NAV Hdg, (USD) P A Valuta USD Data 20.01.2021 NAV 17.20 Perf. YTD 3.14%
    Fondi LO Funds - Convertible Bond 38 Strategia High Conviction Classe di Attivi Convertibles Categoria Globale Share Classes 38
    Classe di quote Valuta Data NAV Perf. YTD
    Classe di quote LO Funds - Convertible Bond, Syst. NAV Hdg, (CHF) I A Valuta CHF Data 20.01.2021 NAV 26.72 Perf. YTD 2.25%
    Classe di quote LO Funds - Convertible Bond, Syst. NAV Hdg, (CHF) M A Valuta CHF Data 20.01.2021 NAV 12.98 Perf. YTD 2.24%
    Classe di quote LO Funds - Convertible Bond, Syst. NAV Hdg, (CHF) M D Valuta CHF Data 20.01.2021 NAV 31.38 Perf. YTD 2.24%
    Classe di quote LO Funds - Convertible Bond, Syst. NAV Hdg, (CHF) N A Valuta CHF Data 20.01.2021 NAV 26.68 Perf. YTD 2.25%
    Classe di quote LO Funds - Convertible Bond, Syst. NAV Hdg, (CHF) N D Valuta CHF Data 20.01.2021 NAV 34.00 Perf. YTD 2.25%
    Classe di quote LO Funds - Convertible Bond, Syst. NAV Hdg, (CHF) P A Valuta CHF Data 20.01.2021 NAV 25.28 Perf. YTD 2.20%
    Classe di quote LO Funds - Convertible Bond, Syst. NAV Hdg, (CHF) P D Valuta CHF Data 20.01.2021 NAV 30.03 Perf. YTD 2.20%
    Classe di quote LO Funds - Convertible Bond, Syst. NAV Hdg, (CHF) S A Valuta CHF Data 20.01.2021 NAV 37.07 Perf. YTD 2.29%
    Classe di quote LO Funds - Convertible Bond, Syst. NAV Hdg, X1, (CHF) I A Valuta CHF Data 20.01.2021 NAV 11.35 Perf. YTD 2.27%
    Classe di quote LO Funds - Convertible Bond, Syst. NAV Hdg, X1, (CHF) M A Valuta CHF Data 20.01.2021 NAV 13.07 Perf. YTD 2.27%
    Classe di quote LO Funds - Convertible Bond, Syst. NAV Hdg, X1, (CHF) M D Valuta CHF Data 20.01.2021 NAV 13.07 Perf. YTD 2.27%
    Classe di quote LO Funds - Convertible Bond, (EUR) I A Valuta EUR Data 20.01.2021 NAV 22.48 Perf. YTD 2.27%
    Classe di quote LO Funds - Convertible Bond, (EUR) M A Valuta EUR Data 20.01.2021 NAV 21.40 Perf. YTD 2.26%
    Classe di quote LO Funds - Convertible Bond, (EUR) M D Valuta EUR Data 20.01.2021 NAV 20.46 Perf. YTD 2.26%
    Classe di quote LO Funds - Convertible Bond, (EUR) N A Valuta EUR Data 20.01.2021 NAV 22.45 Perf. YTD 2.27%
    Classe di quote LO Funds - Convertible Bond, (EUR) N D Valuta EUR Data 20.01.2021 NAV 21.47 Perf. YTD 2.27%
    Classe di quote LO Funds - Convertible Bond, (EUR) P A Valuta EUR Data 20.01.2021 NAV 20.41 Perf. YTD 2.23%
    Classe di quote LO Funds - Convertible Bond, (EUR) P D Valuta EUR Data 20.01.2021 NAV 19.62 Perf. YTD 2.23%
    Classe di quote LO Funds - Convertible Bond, (EUR) R A Valuta EUR Data 20.01.2021 NAV 19.08 Perf. YTD 2.20%
    Classe di quote LO Funds - Convertible Bond, X1, (EUR) I A Valuta EUR Data 20.01.2021 NAV 23.53 Perf. YTD 2.29%
    Classe di quote LO Funds - Convertible Bond, X1, (EUR) M A Valuta EUR Data 20.01.2021 NAV 21.55 Perf. YTD 2.29%
    Classe di quote LO Funds - Convertible Bond, X1, (EUR) M D Valuta EUR Data 20.01.2021 NAV 20.56 Perf. YTD 2.29%
    Classe di quote LO Funds - Convertible Bond, Syst. NAV Hdg, (GBP) M A Valuta GBP Data 20.01.2021 NAV 12.31 Perf. YTD 2.26%
    Classe di quote LO Funds - Convertible Bond, Syst. NAV Hdg, (GBP) M D Valuta GBP Data 20.01.2021 NAV 12.31 Perf. YTD 2.26%
    Classe di quote LO Funds - Convertible Bond, Syst. NAV Hdg, (GBP) N A Valuta GBP Data 20.01.2021 NAV 12.42 Perf. YTD 2.27%
    Classe di quote LO Funds - Convertible Bond, Syst. NAV Hdg, (GBP) N D Valuta GBP Data 20.01.2021 NAV 12.42 Perf. YTD 2.27%
    Classe di quote LO Funds - Convertible Bond, Syst. NAV Hdg, (GBP) P A Valuta GBP Data 20.01.2021 NAV 11.95 Perf. YTD 2.23%
    Classe di quote LO Funds - Convertible Bond, Syst. NAV Hdg, X1, (GBP) M D Valuta GBP Data 20.01.2021 NAV 12.37 Perf. YTD 2.29%
    Classe di quote LO Funds - Convertible Bond, Syst. NAV Hdg, X1, (JPY) I A Valuta JPY Data 20.01.2021 NAV 11926.00 Perf. YTD 2.28%
    Classe di quote LO Funds - Convertible Bond, Syst. NAV Hdg, X1, (JPY) I D Valuta JPY Data 20.01.2021 NAV 12198.00 Perf. YTD 2.28%
    Classe di quote LO Funds - Convertible Bond, Syst. NAV Hdg, (USD) M A Valuta USD Data 20.01.2021 NAV 14.84 Perf. YTD 2.29%
    Classe di quote LO Funds - Convertible Bond, Syst. NAV Hdg, (USD) M D Valuta USD Data 20.01.2021 NAV 34.05 Perf. YTD 2.29%
    Classe di quote LO Funds - Convertible Bond, Syst. NAV Hdg, (USD) N A Valuta USD Data 20.01.2021 NAV 33.43 Perf. YTD 2.30%
    Classe di quote LO Funds - Convertible Bond, Syst. NAV Hdg, (USD) N D Valuta USD Data 20.01.2021 NAV 33.43 Perf. YTD 2.30%
    Classe di quote LO Funds - Convertible Bond, Syst. NAV Hdg, (USD) P A Valuta USD Data 20.01.2021 NAV 14.24 Perf. YTD 2.26%
    Classe di quote LO Funds - Convertible Bond, Syst. NAV Hdg, (USD) P D Valuta USD Data 20.01.2021 NAV 32.58 Perf. YTD 2.26%
    Classe di quote LO Funds - Convertible Bond, Syst. NAV Hdg, X1, (USD) M A Valuta USD Data 20.01.2021 NAV 14.96 Perf. YTD 2.32%
    Classe di quote LO Funds - Convertible Bond, Syst. NAV Hdg, X1, (USD) M D Valuta USD Data 20.01.2021 NAV 34.21 Perf. YTD 2.32%
    Fondi LO Funds - Convertible Bond Asia 23 Strategia High Conviction Classe di Attivi Convertibles Categoria Asia Share Classes 23
    Classe di quote Valuta Data NAV Perf. YTD
    Classe di quote LO Funds - Convertible Bond Asia, Syst. NAV Hdg, (CHF) M A Valuta CHF Data 20.01.2021 NAV 16.80 Perf. YTD 3.88%
    Classe di quote LO Funds - Convertible Bond Asia, Syst. NAV Hdg, (CHF) M D Valuta CHF Data 20.01.2021 NAV 16.72 Perf. YTD 3.88%
    Classe di quote LO Funds - Convertible Bond Asia, Syst. NAV Hdg, (CHF) N A Valuta CHF Data 20.01.2021 NAV 17.61 Perf. YTD 3.89%
    Classe di quote LO Funds - Convertible Bond Asia, Syst. NAV Hdg, (CHF) P A Valuta CHF Data 20.01.2021 NAV 15.91 Perf. YTD 3.84%
    Classe di quote LO Funds - Convertible Bond Asia, Syst. NAV Hdg, (CHF) P D Valuta CHF Data 20.01.2021 NAV 15.84 Perf. YTD 3.84%
    Classe di quote LO Funds - Convertible Bond Asia, Syst. NAV Hdg, (CHF) S A Valuta CHF Data 20.01.2021 NAV 19.01 Perf. YTD 3.94%
    Classe di quote LO Funds - Convertible Bond Asia, Syst. NAV Hdg, (EUR) M A Valuta EUR Data 20.01.2021 NAV 18.31 Perf. YTD 3.90%
    Classe di quote LO Funds - Convertible Bond Asia, Syst. NAV Hdg, (EUR) M D Valuta EUR Data 20.01.2021 NAV 18.16 Perf. YTD 3.90%
    Classe di quote LO Funds - Convertible Bond Asia, Syst. NAV Hdg, (EUR) N A Valuta EUR Data 20.01.2021 NAV 19.18 Perf. YTD 3.91%
    Classe di quote LO Funds - Convertible Bond Asia, Syst. NAV Hdg, (EUR) P A Valuta EUR Data 20.01.2021 NAV 17.34 Perf. YTD 3.86%
    Classe di quote LO Funds - Convertible Bond Asia, Syst. NAV Hdg, (EUR) P D Valuta EUR Data 20.01.2021 NAV 17.24 Perf. YTD 3.86%
    Classe di quote LO Funds - Convertible Bond Asia, Syst. NAV Hdg, (EUR) R A Valuta EUR Data 20.01.2021 NAV 15.90 Perf. YTD 3.82%
    Classe di quote LO Funds - Convertible Bond Asia, Syst. NAV Hdg, (EUR) S A Valuta EUR Data 20.01.2021 NAV 21.11 Perf. YTD 3.96%
    Classe di quote LO Funds - Convertible Bond Asia, (USD) M A Valuta USD Data 20.01.2021 NAV 20.65 Perf. YTD 3.95%
    Classe di quote LO Funds - Convertible Bond Asia, (USD) M D Valuta USD Data 20.01.2021 NAV 20.51 Perf. YTD 3.95%
    Classe di quote LO Funds - Convertible Bond Asia, (USD) N A Valuta USD Data 20.01.2021 NAV 21.63 Perf. YTD 3.97%
    Classe di quote LO Funds - Convertible Bond Asia, (USD) N D Valuta USD Data 20.01.2021 NAV 20.86 Perf. YTD 3.97%
    Classe di quote LO Funds - Convertible Bond Asia, (USD) P A Valuta USD Data 20.01.2021 NAV 19.55 Perf. YTD 3.92%
    Classe di quote LO Funds - Convertible Bond Asia, (USD) P D Valuta USD Data 20.01.2021 NAV 19.42 Perf. YTD 3.92%
    Classe di quote LO Funds - Convertible Bond Asia, (USD) R A Valuta USD Data 20.01.2021 NAV 17.92 Perf. YTD 3.87%
    Classe di quote LO Funds - Convertible Bond Asia, (USD) S A Valuta USD Data 20.01.2021 NAV 21.30 Perf. YTD 4.02%
    Classe di quote LO Funds - Convertible Bond Asia, X1, (USD) I A Valuta USD Data 20.01.2021 NAV 21.72 Perf. YTD 3.99%
    Classe di quote LO Funds - Convertible Bond Asia, X1, (USD) M D Valuta USD Data 20.01.2021 NAV 20.61 Perf. YTD 3.98%
    Fondi LO Funds - Emerging High Conviction 29 Strategia High Conviction Classe di Attivi Azioni Categoria Mercati emergenti Share Classes 29
    Classe di quote Valuta Data NAV Perf. YTD
    Classe di quote LO Funds - Emerging High Conviction, Syst. NAV Hdg, (CHF) I A Valuta CHF Data 20.01.2021 NAV 19.09 Perf. YTD 10.08%
    Classe di quote LO Funds - Emerging High Conviction, Syst. NAV Hdg, (CHF) M A Valuta CHF Data 20.01.2021 NAV 18.56 Perf. YTD 10.07%
    Classe di quote LO Funds - Emerging High Conviction, Syst. NAV Hdg, (CHF) M D Valuta CHF Data 20.01.2021 NAV 18.17 Perf. YTD 10.07%
    Classe di quote LO Funds - Emerging High Conviction, Syst. NAV Hdg, (CHF) N A Valuta CHF Data 20.01.2021 NAV 19.06 Perf. YTD 10.08%
    Classe di quote LO Funds - Emerging High Conviction, Syst. NAV Hdg, (CHF) P A Valuta CHF Data 20.01.2021 NAV 17.47 Perf. YTD 10.02%
    Classe di quote LO Funds - Emerging High Conviction, Syst. NAV Hdg, (CHF) S A Valuta CHF Data 20.01.2021 NAV 20.14 Perf. YTD 10.14%
    Classe di quote LO Funds - Emerging High Conviction, (EUR) N A Valuta EUR Data 20.01.2021 NAV 13.46 Perf. YTD 11.32%
    Classe di quote LO Funds - Emerging High Conviction, Syst. NAV Hdg, (EUR) I A Valuta EUR Data 20.01.2021 NAV 19.68 Perf. YTD 10.10%
    Classe di quote LO Funds - Emerging High Conviction, Syst. NAV Hdg, (EUR) M A Valuta EUR Data 20.01.2021 NAV 19.14 Perf. YTD 10.09%
    Classe di quote LO Funds - Emerging High Conviction, Syst. NAV Hdg, (EUR) M D Valuta EUR Data 20.01.2021 NAV 18.70 Perf. YTD 10.09%
    Classe di quote LO Funds - Emerging High Conviction, Syst. NAV Hdg, (EUR) N A Valuta EUR Data 20.01.2021 NAV 19.66 Perf. YTD 10.10%
    Classe di quote LO Funds - Emerging High Conviction, Syst. NAV Hdg, (EUR) N D Valuta EUR Data 20.01.2021 NAV 19.23 Perf. YTD 10.10%
    Classe di quote LO Funds - Emerging High Conviction, Syst. NAV Hdg, (EUR) P A Valuta EUR Data 20.01.2021 NAV 18.01 Perf. YTD 10.04%
    Classe di quote LO Funds - Emerging High Conviction, Syst. NAV Hdg, (EUR) P D Valuta EUR Data 20.01.2021 NAV 18.00 Perf. YTD 10.04%
    Classe di quote LO Funds - Emerging High Conviction, Syst. NAV Hdg, (EUR) R A Valuta EUR Data 20.01.2021 NAV 16.63 Perf. YTD 10.00%
    Classe di quote LO Funds - Emerging High Conviction, Syst. NAV Hdg, (EUR) S A Valuta EUR Data 20.01.2021 NAV 21.04 Perf. YTD 10.16%
    Classe di quote LO Funds - Emerging High Conviction, Syst. NAV Hdg, X1, (EUR) M A Valuta EUR Data 20.01.2021 NAV 19.26 Perf. YTD 10.12%
    Classe di quote LO Funds - Emerging High Conviction, Syst. NAV Hdg, (GBP) N D Valuta GBP Data 20.01.2021 NAV 14.42 Perf. YTD 10.12%
    Classe di quote LO Funds - Emerging High Conviction, (USD) I A Valuta USD Data 20.01.2021 NAV 22.25 Perf. YTD 10.14%
    Classe di quote LO Funds - Emerging High Conviction, (USD) M A Valuta USD Data 20.01.2021 NAV 21.55 Perf. YTD 10.12%
    Classe di quote LO Funds - Emerging High Conviction, (USD) M D Valuta USD Data 20.01.2021 NAV 21.22 Perf. YTD 10.12%
    Classe di quote LO Funds - Emerging High Conviction, (USD) N A Valuta USD Data 20.01.2021 NAV 22.22 Perf. YTD 10.13%
    Classe di quote LO Funds - Emerging High Conviction, (USD) N D Valuta USD Data 20.01.2021 NAV 21.25 Perf. YTD 10.13%
    Classe di quote LO Funds - Emerging High Conviction, (USD) P A Valuta USD Data 20.01.2021 NAV 20.30 Perf. YTD 10.07%
    Classe di quote LO Funds - Emerging High Conviction, (USD) P D Valuta USD Data 20.01.2021 NAV 20.27 Perf. YTD 10.07%
    Classe di quote LO Funds - Emerging High Conviction, (USD) R A Valuta USD Data 20.01.2021 NAV 19.84 Perf. YTD 10.03%
    Classe di quote LO Funds - Emerging High Conviction, (USD) S A Valuta USD Data 20.01.2021 NAV 22.73 Perf. YTD 10.19%
    Classe di quote LO Funds - Emerging High Conviction, X1, (USD) M A Valuta USD Data 20.01.2021 NAV 21.70 Perf. YTD 10.15%
    Classe di quote LO Funds - Emerging High Conviction, X1, (USD) M D Valuta USD Data 20.01.2021 NAV 21.36 Perf. YTD 10.15%
    Fondi LO Funds - Emerging Local Currency Bond Fundamental 20 Strategia Fundamental Fixed Income Classe di Attivi Rendimento fisso Categoria Mercati emergenti Share Classes 20
    Classe di quote Valuta Data NAV Perf. YTD
    Classe di quote LO Funds - Emerging Local Currency Bond Fundamental, (CHF) I A Valuta CHF Data 20.01.2021 NAV 9.76 Perf. YTD 0.35%
    Classe di quote LO Funds - Emerging Local Currency Bond Fundamental, (CHF) M A Valuta CHF Data 20.01.2021 NAV 9.65 Perf. YTD 0.34%
    Classe di quote LO Funds - Emerging Local Currency Bond Fundamental, (CHF) N A Valuta CHF Data 20.01.2021 NAV 9.74 Perf. YTD 0.35%
    Classe di quote LO Funds - Emerging Local Currency Bond Fundamental, (CHF) P A Valuta CHF Data 20.01.2021 NAV 9.20 Perf. YTD 0.31%
    Classe di quote LO Funds - Emerging Local Currency Bond Fundamental, (CHF) P D Valuta CHF Data 20.01.2021 NAV 6.21 Perf. YTD 0.31%
    Classe di quote LO Funds - Emerging Local Currency Bond Fundamental, (CHF) S A Valuta CHF Data 20.01.2021 NAV 10.52 Perf. YTD 0.39%
    Classe di quote LO Funds - Emerging Local Currency Bond Fundamental, (EUR) I A Valuta EUR Data 20.01.2021 NAV 13.41 Perf. YTD 0.67%
    Classe di quote LO Funds - Emerging Local Currency Bond Fundamental, (EUR) M A Valuta EUR Data 20.01.2021 NAV 12.90 Perf. YTD 0.66%
    Classe di quote LO Funds - Emerging Local Currency Bond Fundamental, (EUR) M D Valuta EUR Data 20.01.2021 NAV 8.37 Perf. YTD 0.66%
    Classe di quote LO Funds - Emerging Local Currency Bond Fundamental, (EUR) N A Valuta EUR Data 20.01.2021 NAV 13.40 Perf. YTD 0.66%
    Classe di quote LO Funds - Emerging Local Currency Bond Fundamental, (EUR) P A Valuta EUR Data 20.01.2021 NAV 12.29 Perf. YTD 0.63%
    Classe di quote LO Funds - Emerging Local Currency Bond Fundamental, (EUR) P D Valuta EUR Data 20.01.2021 NAV 8.26 Perf. YTD 0.63%
    Classe di quote LO Funds - Emerging Local Currency Bond Fundamental, (EUR) R A Valuta EUR Data 20.01.2021 NAV 11.17 Perf. YTD 0.57%
    Classe di quote LO Funds - Emerging Local Currency Bond Fundamental, (EUR) S A Valuta EUR Data 20.01.2021 NAV 13.77 Perf. YTD 0.70%
    Classe di quote LO Funds - Emerging Local Currency Bond Fundamental, (USD) M A Valuta USD Data 20.01.2021 NAV 10.84 Perf. YTD -0.42%