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    Mostra 1989 del 1989 totale delle classi di azioni

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    Fondi Strategia Classe di Attivi Categoria
    Fondi LO Funds - Global Convertible Bond Defensive Delta 18 Strategia High Conviction Classe di Attivi Convertibles Categoria Globale Share Classes 18
    Classe di quote Valuta Data NAV Perf. YTD
    Classe di quote LO Funds - Global Convertible Bond Defensive Delta, Syst. NAV Hdg, (CHF) I A Valuta CHF Data 12.04.2021 NAV 12.04 Perf. YTD 2.77%
    Classe di quote LO Funds - Global Convertible Bond Defensive Delta, Syst. NAV Hdg, (CHF) N A Valuta CHF Data 12.04.2021 NAV 12.02 Perf. YTD 2.76%
    Classe di quote LO Funds - Global Convertible Bond Defensive Delta, Syst. NAV Hdg, (CHF) P A Valuta CHF Data 12.04.2021 NAV 11.47 Perf. YTD 2.53%
    Classe di quote LO Funds - Global Convertible Bond Defensive Delta, Syst. NAV Hdg, (CHF) S A Valuta CHF Data 12.04.2021 NAV 12.34 Perf. YTD 2.99%
    Classe di quote LO Funds - Global Convertible Bond Defensive Delta, Syst. NAV Hdg, Seed, (CHF) I A Valuta CHF Data 12.04.2021 NAV 12.22 Perf. YTD 2.87%
    Classe di quote LO Funds - Global Convertible Bond Defensive Delta, Syst. NAV Hdg, Seed, (CHF) M A Valuta CHF Data 12.04.2021 NAV 12.08 Perf. YTD 2.81%
    Classe di quote LO Funds - Global Convertible Bond Defensive Delta, Syst. NAV Hdg, Seed, (CHF) N A Valuta CHF Data 12.04.2021 NAV 12.20 Perf. YTD 2.85%
    Classe di quote LO Funds - Global Convertible Bond Defensive Delta, Syst. NAV Hdg, Seed, (CHF) P A Valuta CHF Data 12.04.2021 NAV 11.64 Perf. YTD 2.63%
    Classe di quote LO Funds - Global Convertible Bond Defensive Delta, (EUR) I A Valuta EUR Data 12.04.2021 NAV 12.42 Perf. YTD 2.89%
    Classe di quote LO Funds - Global Convertible Bond Defensive Delta, (EUR) N A Valuta EUR Data 12.04.2021 NAV 12.40 Perf. YTD 2.88%
    Classe di quote LO Funds - Global Convertible Bond Defensive Delta, (EUR) P A Valuta EUR Data 12.04.2021 NAV 11.83 Perf. YTD 2.65%
    Classe di quote LO Funds - Global Convertible Bond Defensive Delta, Seed, (EUR) I A Valuta EUR Data 12.04.2021 NAV 12.63 Perf. YTD 2.98%
    Classe di quote LO Funds - Global Convertible Bond Defensive Delta, Seed, (EUR) N A Valuta EUR Data 12.04.2021 NAV 12.61 Perf. YTD 2.97%
    Classe di quote LO Funds - Global Convertible Bond Defensive Delta, Seed, (EUR) P A Valuta EUR Data 12.04.2021 NAV 12.00 Perf. YTD 2.74%
    Classe di quote LO Funds - Global Convertible Bond Defensive Delta, X1, (EUR) P A Valuta EUR Data 12.04.2021 NAV 11.63 Perf. YTD 2.79%
    Classe di quote LO Funds - Global Convertible Bond Defensive Delta, Syst. NAV Hdg, (USD) N A Valuta USD Data 12.04.2021 NAV 13.77 Perf. YTD 3.16%
    Classe di quote LO Funds - Global Convertible Bond Defensive Delta, Syst. NAV Hdg, Seed, (USD) M A Valuta USD Data 12.04.2021 NAV 13.86 Perf. YTD 3.21%
    Classe di quote LO Funds - Global Convertible Bond Defensive Delta, Syst. NAV Hdg, Seed, (USD) N A Valuta USD Data 12.04.2021 NAV 14.00 Perf. YTD 3.26%
    Fondi LO Funds - Global FinTech 40 Strategia High Conviction Classe di Attivi Azioni Categoria Global Trends Share Classes 40
    Classe di quote Valuta Data NAV Perf. YTD
    Classe di quote LO Funds - Global FinTech, Syst. NAV Hdg, (CHF) I A Valuta CHF Data 12.04.2021 NAV 15.80 Perf. YTD 8.71%
    Classe di quote LO Funds - Global FinTech, Syst. NAV Hdg, (CHF) M A Valuta CHF Data 12.04.2021 NAV 15.79 Perf. YTD 8.66%
    Classe di quote LO Funds - Global FinTech, Syst. NAV Hdg, (CHF) M D Valuta CHF Data 12.04.2021 NAV 15.79 Perf. YTD 8.66%
    Classe di quote LO Funds - Global FinTech, Syst. NAV Hdg, (CHF) P A Valuta CHF Data 12.04.2021 NAV 15.69 Perf. YTD 8.45%
    Classe di quote LO Funds - Global FinTech, Syst. NAV Hdg, Seed, (CHF) I A Valuta CHF Data 12.04.2021 NAV 15.88 Perf. YTD 8.84%
    Classe di quote LO Funds - Global FinTech, Syst. NAV Hdg, Seed, (CHF) M A Valuta CHF Data 12.04.2021 NAV 15.85 Perf. YTD 8.78%
    Classe di quote LO Funds - Global FinTech, Syst. NAV Hdg, Seed, (CHF) N A Valuta CHF Data 12.04.2021 NAV 15.88 Perf. YTD 8.80%
    Classe di quote LO Funds - Global FinTech, Syst. NAV Hdg, Seed, (CHF) P A Valuta CHF Data 12.04.2021 NAV 15.74 Perf. YTD 8.56%
    Classe di quote LO Funds - Global FinTech, Syst. NAV Hdg, X1, (CHF) M A Valuta CHF Data 12.04.2021 NAV 15.84 Perf. YTD 8.80%
    Classe di quote LO Funds - Global FinTech, (EUR) I A Valuta EUR Data 12.04.2021 NAV 13.23 Perf. YTD 12.18%
    Classe di quote LO Funds - Global FinTech, Syst. NAV Hdg, (EUR) M A Valuta EUR Data 12.04.2021 NAV 15.82 Perf. YTD 8.76%
    Classe di quote LO Funds - Global FinTech, Syst. NAV Hdg, (EUR) M D Valuta EUR Data 12.04.2021 NAV 15.82 Perf. YTD 8.76%
    Classe di quote LO Funds - Global FinTech, Syst. NAV Hdg, (EUR) N A Valuta EUR Data 12.04.2021 NAV 15.84 Perf. YTD 8.81%
    Classe di quote LO Funds - Global FinTech, Syst. NAV Hdg, (EUR) P A Valuta EUR Data 12.04.2021 NAV 15.73 Perf. YTD 8.55%
    Classe di quote LO Funds - Global FinTech, Syst. NAV Hdg, Seed, (EUR) I A Valuta EUR Data 12.04.2021 NAV 15.91 Perf. YTD 8.94%
    Classe di quote LO Funds - Global FinTech, Syst. NAV Hdg, Seed, (EUR) M A Valuta EUR Data 12.04.2021 NAV 15.88 Perf. YTD 8.88%
    Classe di quote LO Funds - Global FinTech, Syst. NAV Hdg, Seed, (EUR) M D Valuta EUR Data 12.04.2021 NAV 15.88 Perf. YTD 8.88%
    Classe di quote LO Funds - Global FinTech, Syst. NAV Hdg, Seed, (EUR) N A Valuta EUR Data 12.04.2021 NAV 15.90 Perf. YTD 8.93%
    Classe di quote LO Funds - Global FinTech, Syst. NAV Hdg, Seed, (EUR) P A Valuta EUR Data 12.04.2021 NAV 15.77 Perf. YTD 8.66%
    Classe di quote LO Funds - Global FinTech, Syst. NAV Hdg, X1, Seed, (EUR) M D Valuta EUR Data 12.04.2021 NAV 15.91 Perf. YTD 8.94%
    Classe di quote LO Funds - Global FinTech, Syst. NAV Hdg, (GBP) N A Valuta GBP Data 12.04.2021 NAV 14.58 Perf. YTD 9.04%
    Classe di quote LO Funds - Global FinTech, Syst. NAV Hdg, (GBP) N D Valuta GBP Data 12.04.2021 NAV 14.58 Perf. YTD 9.04%
    Classe di quote LO Funds - Global FinTech, Syst. NAV Hdg, Seed, (GBP) M A Valuta GBP Data 12.04.2021 NAV 14.58 Perf. YTD 9.07%
    Classe di quote LO Funds - Global FinTech, (USD) I A Valuta USD Data 12.04.2021 NAV 16.11 Perf. YTD 9.17%
    Classe di quote LO Funds - Global FinTech, (USD) M A Valuta USD Data 12.04.2021 NAV 16.06 Perf. YTD 9.11%
    Classe di quote LO Funds - Global FinTech, (USD) M D Valuta USD Data 12.04.2021 NAV 16.06 Perf. YTD 9.11%
    Classe di quote LO Funds - Global FinTech, (USD) N A Valuta USD Data 12.04.2021 NAV 16.10 Perf. YTD 9.16%
    Classe di quote LO Funds - Global FinTech, (USD) N D Valuta USD Data 12.04.2021 NAV 16.10 Perf. YTD 9.16%
    Classe di quote LO Funds - Global FinTech, (USD) P A Valuta USD Data 12.04.2021 NAV 15.97 Perf. YTD 8.90%
    Classe di quote LO Funds - Global FinTech, (USD) P D Valuta USD Data 12.04.2021 NAV 15.97 Perf. YTD 8.90%
    Classe di quote LO Funds - Global FinTech, Seed, (USD) I A Valuta USD Data 12.04.2021 NAV 16.17 Perf. YTD 9.29%
    Classe di quote LO Funds - Global FinTech, Seed, (USD) M A Valuta USD Data 12.04.2021 NAV 16.14 Perf. YTD 9.23%
    Classe di quote LO Funds - Global FinTech, Seed, (USD) M D Valuta USD Data 12.04.2021 NAV 16.14 Perf. YTD 9.23%
    Classe di quote LO Funds - Global FinTech, Seed, (USD) N A Valuta USD Data 12.04.2021 NAV 16.16 Perf. YTD 9.28%
    Classe di quote LO Funds - Global FinTech, Seed, (USD) N D Valuta USD Data 12.04.2021 NAV 16.16 Perf. YTD 9.28%
    Classe di quote LO Funds - Global FinTech, Seed, (USD) P A Valuta USD Data 12.04.2021 NAV 16.02 Perf. YTD 9.01%
    Classe di quote LO Funds - Global FinTech, X1, (USD) M A Valuta USD Data 12.04.2021 NAV 16.14 Perf. YTD 9.25%
    Classe di quote LO Funds - Global FinTech, X1, (USD) M D Valuta USD Data 12.04.2021 NAV 16.13 Perf. YTD 9.25%
    Classe di quote LO Funds - Global FinTech, X1, Seed, (USD) M A Valuta USD Data 12.04.2021 NAV 16.17 Perf. YTD 9.29%
    Classe di quote LO Funds - Global FinTech, X1, Seed, (USD) M D Valuta USD Data 12.04.2021 NAV 16.17 Perf. YTD 9.29%
    Fondi LO Funds - Global Government Fundamental 19 Strategia Fundamental Fixed Income Classe di Attivi Rendimento fisso Categoria Governo Share Classes 19
    Classe di quote Valuta Data NAV Perf. YTD
    Classe di quote LO Funds - Global Government Fundamental, (CHF) P A Valuta CHF Data 12.04.2021 NAV 23.11 Perf. YTD -1.12%
    Classe di quote LO Funds - Global Government Fundamental, (CHF) P D Valuta CHF Data 12.04.2021 NAV 14.87 Perf. YTD -1.12%
    Classe di quote LO Funds - Global Government Fundamental, Syst. Multi Ccy Hdg, (CHF) I A Valuta CHF Data 12.04.2021 NAV 26.97 Perf. YTD -3.34%
    Classe di quote LO Funds - Global Government Fundamental, Syst. Multi Ccy Hdg, (CHF) M A Valuta CHF Data 12.04.2021 NAV 26.28 Perf. YTD -3.38%
    Classe di quote LO Funds - Global Government Fundamental, Syst. Multi Ccy Hdg, (CHF) M D Valuta CHF Data 12.04.2021 NAV 16.69 Perf. YTD -3.38%
    Classe di quote LO Funds - Global Government Fundamental, Syst. Multi Ccy Hdg, (CHF) N A Valuta CHF Data 12.04.2021 NAV 26.93 Perf. YTD -3.35%
    Classe di quote LO Funds - Global Government Fundamental, Syst. Multi Ccy Hdg, (CHF) P A Valuta CHF Data 12.04.2021 NAV 25.55 Perf. YTD -3.47%
    Classe di quote LO Funds - Global Government Fundamental, Syst. Multi Ccy Hdg, (CHF) P D Valuta CHF Data 12.04.2021 NAV 16.44 Perf. YTD -3.47%
    Classe di quote LO Funds - Global Government Fundamental, Syst. Multi Ccy Hdg, (CHF) S A Valuta CHF Data 12.04.2021 NAV 28.25 Perf. YTD -3.22%
    Classe di quote LO Funds - Global Government Fundamental, (EUR) P A Valuta EUR Data 12.04.2021 NAV 10.50 Perf. YTD -2.61%
    Classe di quote LO Funds - Global Government Fundamental, (EUR) P D2 Valuta EUR Data 12.04.2021 NAV 9.00 Perf. YTD -2.61%
    Classe di quote LO Funds - Global Government Fundamental, (EUR) R A Valuta EUR Data 12.04.2021 NAV 10.06 Perf. YTD -2.82%
    Classe di quote LO Funds - Global Government Fundamental, (EUR) R D Valuta EUR Data 12.04.2021 NAV 9.16 Perf. YTD -2.81%
    Classe di quote LO Funds - Global Government Fundamental, Syst. Multi Ccy Hdg, (EUR) M A Valuta EUR Data 12.04.2021 NAV 10.42 Perf. YTD -3.28%
    Classe di quote LO Funds - Global Government Fundamental, Syst. Multi Ccy Hdg, (EUR) M D Valuta EUR Data 12.04.2021 NAV 10.15 Perf. YTD -3.28%
    Classe di quote LO Funds - Global Government Fundamental, Syst. Multi Ccy Hdg, (EUR) N A Valuta EUR Data 12.04.2021 NAV 10.44 Perf. YTD -3.25%
    Classe di quote LO Funds - Global Government Fundamental, Syst. Multi Ccy Hdg, (EUR) P A Valuta EUR Data 12.04.2021 NAV 10.08 Perf. YTD -3.37%
    Classe di quote LO Funds - Global Government Fundamental, Syst. Multi Ccy Hdg, (EUR) P D Valuta EUR Data 12.04.2021 NAV 10.13 Perf. YTD -3.37%
    Classe di quote LO Funds - Global Government Fundamental, Syst. Multi Ccy Hdg, (EUR) R A Valuta EUR Data 12.04.2021 NAV 10.18 Perf. YTD -3.57%
    Fondi LO Funds - Global Inflation-Linked Fundamental 8 Strategia Fundamental Fixed Income Classe di Attivi Rendimento fisso Categoria Inflation-Linked Share Classes 8
    Classe di quote Valuta Data NAV Perf. YTD
    Classe di quote LO Funds - Global Inflation-Linked Fundamental, Syst. Multi Ccy Hdg, X1, (CHF) I A Valuta CHF Data 12.04.2021 NAV 10.12 Perf. YTD -2.69%
    Classe di quote LO Funds - Global Inflation-Linked Fundamental, Syst. Multi Ccy Hdg, (EUR) M A Valuta EUR Data 12.04.2021 NAV 12.99 Perf. YTD -2.68%
    Classe di quote LO Funds - Global Inflation-Linked Fundamental, Syst. Multi Ccy Hdg, (EUR) M D Valuta EUR Data 12.04.2021 NAV 12.05 Perf. YTD -2.68%
    Classe di quote LO Funds - Global Inflation-Linked Fundamental, Syst. Multi Ccy Hdg, (EUR) N A Valuta EUR Data 12.04.2021 NAV 13.29 Perf. YTD -2.65%
    Classe di quote LO Funds - Global Inflation-Linked Fundamental, Syst. Multi Ccy Hdg, (EUR) P A Valuta EUR Data 12.04.2021 NAV 12.63 Perf. YTD -2.78%
    Classe di quote LO Funds - Global Inflation-Linked Fundamental, Syst. Multi Ccy Hdg, (EUR) P D Valuta EUR Data 12.04.2021 NAV 11.92 Perf. YTD -2.78%
    Classe di quote LO Funds - Global Inflation-Linked Fundamental, Syst. Multi Ccy Hdg, (EUR) R A Valuta EUR Data 12.04.2021 NAV 12.03 Perf. YTD -2.90%
    Classe di quote LO Funds - Global Inflation-Linked Fundamental, Syst. Multi Ccy Hdg, X1, (EUR) I A Valuta EUR Data 12.04.2021 NAV 10.17 Perf. YTD -2.62%
    Fondi LO Funds - Global Responsible Corporate Fundamental 14 Strategia Fundamental Fixed Income Classe di Attivi Rendimento fisso Categoria Credito Share Classes 14
    Classe di quote Valuta Data NAV Perf. YTD
    Classe di quote LO Funds - Global Responsible Corporate Fundamental, Syst. Multi Ccy Hdg, (CHF) I A Valuta CHF Data 12.04.2021 NAV 11.44 Perf. YTD -3.04%
    Classe di quote LO Funds - Global Responsible Corporate Fundamental, Syst. Multi Ccy Hdg, (CHF) N A Valuta CHF Data 12.04.2021 NAV 11.42 Perf. YTD -3.05%
    Classe di quote LO Funds - Global Responsible Corporate Fundamental, Syst. Multi Ccy Hdg, (CHF) S A Valuta CHF Data 12.04.2021 NAV 12.04 Perf. YTD -2.86%
    Classe di quote LO Funds - Global Responsible Corporate Fundamental, Syst. Multi Ccy Hdg, (EUR) N A Valuta EUR Data 12.04.2021 NAV 10.42 Perf. YTD -2.97%
    Classe di quote LO Funds - Global Responsible Corporate Fundamental, Syst. Multi Ccy Hdg, (EUR) N D Valuta EUR Data 12.04.2021 NAV 9.75 Perf. YTD -2.97%
    Classe di quote LO Funds - Global Responsible Corporate Fundamental, Syst. Multi Ccy Hdg, (EUR) P A Valuta EUR Data 12.04.2021 NAV 11.11 Perf. YTD -3.16%
    Classe di quote LO Funds - Global Responsible Corporate Fundamental, Syst. Multi Ccy Hdg, (EUR) P D Valuta EUR Data 12.04.2021 NAV 10.99 Perf. YTD -3.15%
    Classe di quote LO Funds - Global Responsible Corporate Fundamental, Syst. Multi Ccy Hdg, (EUR) S A Valuta EUR Data 12.04.2021 NAV 11.84 Perf. YTD -2.77%
    Classe di quote LO Funds - Global Responsible Corporate Fundamental, Syst. Multi Ccy Hdg, X1, (EUR) M D Valuta EUR Data 12.04.2021 NAV 9.89 Perf. YTD -2.89%
    Classe di quote LO Funds - Global Responsible Corporate Fundamental, Syst. Multi Ccy Hdg, X1, (EUR) N A Valuta EUR Data 12.04.2021 NAV 10.49 Perf. YTD -2.89%
    Classe di quote LO Funds - Global Responsible Corporate Fundamental, (USD) I A Valuta USD Data 12.04.2021 NAV 11.55 Perf. YTD -3.50%
    Classe di quote LO Funds - Global Responsible Corporate Fundamental, (USD) N A Valuta USD Data 12.04.2021 NAV 11.54 Perf. YTD -3.51%
    Classe di quote LO Funds - Global Responsible Corporate Fundamental, Syst. Multi Ccy Hdg, (USD) I A Valuta USD Data 12.04.2021 NAV 12.04 Perf. YTD -2.72%
    Classe di quote LO Funds - Global Responsible Corporate Fundamental, Syst. Multi Ccy Hdg, (USD) N A Valuta USD Data 12.04.2021 NAV 12.02 Perf. YTD -2.73%
    Fondi LO Funds - Global Responsible Equity 13 Strategia Systematic Classe di Attivi Azioni Categoria Globale Share Classes 13
    Classe di quote Valuta Data NAV Perf. YTD
    Classe di quote LO Funds - Global Responsible Equity, Syst. NAV Hdg, (CHF) M A Valuta CHF Data 12.04.2021 NAV 13.01 Perf. YTD 8.14%
    Classe di quote LO Funds - Global Responsible Equity, Syst. NAV Hdg, (CHF) M D Valuta CHF Data 12.04.2021 NAV 12.24 Perf. YTD 8.14%
    Classe di quote LO Funds - Global Responsible Equity, Syst. NAV Hdg, (CHF) N A Valuta CHF Data 12.04.2021 NAV 13.09 Perf. YTD 8.18%
    Classe di quote LO Funds - Global Responsible Equity, Syst. NAV Hdg, (CHF) P A Valuta CHF Data 12.04.2021 NAV 12.74 Perf. YTD 7.98%
    Classe di quote LO Funds - Global Responsible Equity, Syst. NAV Hdg, (EUR) M A Valuta EUR Data 12.04.2021 NAV 13.15 Perf. YTD 8.26%
    Classe di quote LO Funds - Global Responsible Equity, Syst. NAV Hdg, (EUR) M D Valuta EUR Data 12.04.2021 NAV 12.43 Perf. YTD 8.26%
    Classe di quote LO Funds - Global Responsible Equity, Syst. NAV Hdg, (EUR) N A Valuta EUR Data 12.04.2021 NAV 13.22 Perf. YTD 8.30%
    Classe di quote LO Funds - Global Responsible Equity, Syst. NAV Hdg, (EUR) P A Valuta EUR Data 12.04.2021 NAV 12.85 Perf. YTD 8.10%
    Classe di quote LO Funds - Global Responsible Equity, (USD) I A Valuta USD Data 12.04.2021 NAV 14.72 Perf. YTD 8.65%
    Classe di quote LO Funds - Global Responsible Equity, (USD) M A Valuta USD Data 12.04.2021 NAV 14.61 Perf. YTD 8.59%
    Classe di quote LO Funds - Global Responsible Equity, (USD) N A Valuta USD Data 12.04.2021 NAV 14.70 Perf. YTD 8.63%
    Classe di quote LO Funds - Global Responsible Equity, (USD) P A Valuta USD Data 12.04.2021 NAV 14.29 Perf. YTD 8.43%
    Classe di quote LO Funds - Global Responsible Equity, (USD) S A Valuta USD Data 12.04.2021 NAV 14.96 Perf. YTD 8.85%
    Fondi LO Funds - Golden Age 36 Strategia High Conviction Classe di Attivi Azioni Categoria Global Trends Share Classes 36
    Classe di quote Valuta Data NAV Perf. YTD
    Classe di quote LO Funds - Golden Age, Syst. NAV Hdg, (CHF) I A Valuta CHF Data 12.04.2021 NAV 35.46 Perf. YTD 6.41%
    Classe di quote LO Funds - Golden Age, Syst. NAV Hdg, (CHF) M A Valuta CHF Data 12.04.2021 NAV 34.08 Perf. YTD 6.35%
    Classe di quote LO Funds - Golden Age, Syst. NAV Hdg, (CHF) M D Valuta CHF Data 12.04.2021 NAV 33.54 Perf. YTD 6.35%
    Classe di quote LO Funds - Golden Age, Syst. NAV Hdg, (CHF) N A Valuta CHF Data 12.04.2021 NAV 35.43 Perf. YTD 6.40%
    Classe di quote LO Funds - Golden Age, Syst. NAV Hdg, (CHF) P A Valuta CHF Data 12.04.2021 NAV 32.22 Perf. YTD 6.15%
    Classe di quote LO Funds - Golden Age, Syst. NAV Hdg, (CHF) P D Valuta CHF Data 12.04.2021 NAV 32.00 Perf. YTD 6.15%
    Classe di quote LO Funds - Golden Age, Syst. NAV Hdg, X1, (CHF) M A Valuta CHF Data 12.04.2021 NAV 34.15 Perf. YTD 6.49%
    Classe di quote LO Funds - Golden Age, Syst. NAV Hdg, X1, (CHF) N A Valuta CHF Data 12.04.2021 NAV 12.11 Perf. YTD 6.46%
    Classe di quote LO Funds - Golden Age, (EUR) I A Valuta EUR Data 12.04.2021 NAV 16.03 Perf. YTD 9.80%
    Classe di quote LO Funds - Golden Age, (EUR) N A Valuta EUR Data 12.04.2021 NAV 16.02 Perf. YTD 9.80%
    Classe di quote LO Funds - Golden Age, (EUR) P A Valuta EUR Data 12.04.2021 NAV 15.77 Perf. YTD 9.53%
    Classe di quote LO Funds - Golden Age, Syst. NAV Hdg, (EUR) M A Valuta EUR Data 12.04.2021 NAV 23.63 Perf. YTD 6.45%
    Classe di quote LO Funds - Golden Age, Syst. NAV Hdg, (EUR) M D Valuta EUR Data 12.04.2021 NAV 23.16 Perf. YTD 6.45%
    Classe di quote LO Funds - Golden Age, Syst. NAV Hdg, (EUR) N A Valuta EUR Data 12.04.2021 NAV 25.07 Perf. YTD 6.50%
    Classe di quote LO Funds - Golden Age, Syst. NAV Hdg, (EUR) P A Valuta EUR Data 12.04.2021 NAV 22.34 Perf. YTD 6.25%
    Classe di quote LO Funds - Golden Age, Syst. NAV Hdg, (EUR) P D Valuta EUR Data 12.04.2021 NAV 22.28 Perf. YTD 6.25%
    Classe di quote LO Funds - Golden Age, Syst. NAV Hdg, (EUR) R A Valuta EUR Data 12.04.2021 NAV 20.40 Perf. YTD 6.01%
    Classe di quote LO Funds - Golden Age, Syst. NAV Hdg, X1, (EUR) M A Valuta EUR Data 12.04.2021 NAV 23.76 Perf. YTD 6.59%
    Classe di quote LO Funds - Golden Age, Syst. NAV Hdg, X1, (EUR) M D Valuta EUR Data 12.04.2021 NAV 23.22 Perf. YTD 6.59%
    Classe di quote LO Funds - Golden Age, Syst. NAV Hdg, X1, (EUR) N A Valuta EUR Data 12.04.2021 NAV 12.13 Perf. YTD 6.56%
    Classe di quote LO Funds - Golden Age, Syst. NAV Hdg, (GBP) M A Valuta GBP Data 12.04.2021 NAV 19.28 Perf. YTD 6.62%
    Classe di quote LO Funds - Golden Age, Syst. NAV Hdg, (GBP) N A Valuta GBP Data 12.04.2021 NAV 19.11 Perf. YTD 6.67%
    Classe di quote LO Funds - Golden Age, Syst. NAV Hdg, (GBP) N D Valuta GBP Data 12.04.2021 NAV 19.11 Perf. YTD 6.67%
    Classe di quote LO Funds - Golden Age, Syst. NAV Hdg, (GBP) P A Valuta GBP Data 12.04.2021 NAV 18.44 Perf. YTD 6.41%
    Classe di quote LO Funds - Golden Age, Syst. NAV Hdg, X1, (GBP) N D Valuta GBP Data 12.04.2021 NAV 12.17 Perf. YTD 6.73%
    Classe di quote LO Funds - Golden Age, (USD) M A Valuta USD Data 12.04.2021 NAV 37.07 Perf. YTD 6.80%
    Classe di quote LO Funds - Golden Age, (USD) M D Valuta USD Data 12.04.2021 NAV 36.20 Perf. YTD 6.80%
    Classe di quote LO Funds - Golden Age, (USD) N A Valuta USD Data 12.04.2021 NAV 39.35 Perf. YTD 6.85%
    Classe di quote LO Funds - Golden Age, (USD) N D Valuta USD Data 12.04.2021 NAV 38.25 Perf. YTD 6.85%
    Classe di quote LO Funds - Golden Age, (USD) P A Valuta USD Data 12.04.2021 NAV 35.05 Perf. YTD 6.59%
    Classe di quote LO Funds - Golden Age, (USD) P D Valuta USD Data 12.04.2021 NAV 34.83 Perf. YTD 6.59%
    Classe di quote LO Funds - Golden Age, (USD) R A Valuta USD Data 12.04.2021 NAV 33.27 Perf. YTD 6.35%
    Classe di quote LO Funds - Golden Age, (USD) S A Valuta USD Data 12.04.2021 NAV 39.58 Perf. YTD 7.12%
    Classe di quote LO Funds - Golden Age, X1, (USD) M A Valuta USD Data 12.04.2021 NAV 37.34 Perf. YTD 6.94%
    Classe di quote LO Funds - Golden Age, X1, (USD) M D Valuta USD Data 12.04.2021 NAV 36.28 Perf. YTD 6.94%
    Classe di quote LO Funds - Golden Age, X1, (USD) N A Valuta USD Data 12.04.2021 NAV 12.24 Perf. YTD 6.91%
    Fondi LO Funds - High Yield 2021 16 Strategia Buy and Maintain Classe di Attivi Rendimento fisso Categoria Credito Share Classes 16
    Classe di quote Valuta Data NAV Perf. YTD
    Classe di quote LO Funds - High Yield 2021, Syst. Multi Ccy Hdg, (CHF) I A Valuta CHF Data 12.04.2021 NAV 11.23 Perf. YTD 0.53%
    Classe di quote LO Funds - High Yield 2021, Syst. Multi Ccy Hdg, (CHF) M A Valuta CHF Data 12.04.2021 NAV 11.15 Perf. YTD 0.48%
    Classe di quote LO Funds - High Yield 2021, Syst. Multi Ccy Hdg, (CHF) M D Valuta CHF Data 12.04.2021 NAV 10.08 Perf. YTD 0.48%
    Classe di quote LO Funds - High Yield 2021, Syst. Multi Ccy Hdg, (CHF) N A Valuta CHF Data 12.04.2021 NAV 11.21 Perf. YTD 0.52%
    Classe di quote LO Funds - High Yield 2021, Syst. Multi Ccy Hdg, (CHF) N D Valuta CHF Data 12.04.2021 NAV 10.10 Perf. YTD 0.52%
    Classe di quote LO Funds - High Yield 2021, Syst. Multi Ccy Hdg, (CHF) P D Valuta CHF Data 12.04.2021 NAV 11.03 Perf. YTD 0.42%
    Classe di quote LO Funds - High Yield 2021, Syst. Multi Ccy Hdg, (EUR) I D Valuta EUR Data 12.04.2021 NAV 11.25 Perf. YTD 0.58%
    Classe di quote LO Funds - High Yield 2021, Syst. Multi Ccy Hdg, (EUR) M A Valuta EUR Data 12.04.2021 NAV 11.32 Perf. YTD 0.53%
    Classe di quote LO Funds - High Yield 2021, Syst. Multi Ccy Hdg, (EUR) M D Valuta EUR Data 12.04.2021 NAV 10.04 Perf. YTD 0.53%
    Classe di quote LO Funds - High Yield 2021, Syst. Multi Ccy Hdg, (EUR) N A Valuta EUR Data 12.04.2021 NAV 11.38 Perf. YTD 0.57%
    Classe di quote LO Funds - High Yield 2021, Syst. Multi Ccy Hdg, (EUR) N D Valuta EUR Data 12.04.2021 NAV 10.05 Perf. YTD 0.57%
    Classe di quote LO Funds - High Yield 2021, Syst. Multi Ccy Hdg, (EUR) P A Valuta EUR Data 12.04.2021 NAV 11.21 Perf. YTD 0.47%
    Classe di quote LO Funds - High Yield 2021, Syst. Multi Ccy Hdg, (USD) M A Valuta USD Data 12.04.2021 NAV 12.32 Perf. YTD 0.73%
    Classe di quote LO Funds - High Yield 2021, Syst. Multi Ccy Hdg, (USD) M D Valuta USD Data 12.04.2021 NAV 10.15 Perf. YTD 0.73%
    Classe di quote LO Funds - High Yield 2021, Syst. Multi Ccy Hdg, (USD) N A Valuta USD Data 12.04.2021 NAV 12.40 Perf. YTD 0.76%
    Classe di quote LO Funds - High Yield 2021, Syst. Multi Ccy Hdg, (USD) N D Valuta USD Data 12.04.2021 NAV 10.17 Perf. YTD 0.76%
    Fondi LO Funds - High Yield 2022 20 Strategia Buy and Maintain Classe di Attivi Rendimento fisso Categoria Credito Share Classes 20
    Classe di quote Valuta Data NAV Perf. YTD
    Classe di quote LO Funds - High Yield 2022, Syst. Multi Ccy Hdg, (CHF) I A Valuta CHF Data 12.04.2021 NAV 10.04 Perf. YTD 1.73%
    Classe di quote LO Funds - High Yield 2022, Syst. Multi Ccy Hdg, (CHF) M A Valuta CHF Data 12.04.2021 NAV 9.98 Perf. YTD 1.68%
    Classe di quote LO Funds - High Yield 2022, Syst. Multi Ccy Hdg, (CHF) M D Valuta CHF Data 12.04.2021 NAV 9.32 Perf. YTD 1.68%
    Classe di quote LO Funds - High Yield 2022, Syst. Multi Ccy Hdg, (CHF) N A Valuta CHF Data 12.04.2021 NAV 10.02 Perf. YTD 1.71%
    Classe di quote LO Funds - High Yield 2022, Syst. Multi Ccy Hdg, (CHF) N D Valuta CHF Data 12.04.2021 NAV 9.36 Perf. YTD 1.71%
    Classe di quote LO Funds - High Yield 2022, Syst. Multi Ccy Hdg, (CHF) P A Valuta CHF Data 12.04.2021 NAV 9.86 Perf. YTD 1.57%
    Classe di quote LO Funds - High Yield 2022, Syst. Multi Ccy Hdg, (CHF) P D Valuta CHF Data 12.04.2021 NAV 9.32 Perf. YTD 1.57%
    Classe di quote LO Funds - High Yield 2022, Syst. Multi Ccy Hdg, (EUR) I D Valuta EUR Data 12.04.2021 NAV 9.30 Perf. YTD 1.79%
    Classe di quote LO Funds - High Yield 2022, Syst. Multi Ccy Hdg, (EUR) M A Valuta EUR Data 12.04.2021 NAV 10.09 Perf. YTD 1.74%
    Classe di quote LO Funds - High Yield 2022, Syst. Multi Ccy Hdg, (EUR) M D Valuta EUR Data 12.04.2021 NAV 9.30 Perf. YTD 1.74%
    Classe di quote LO Funds - High Yield 2022, Syst. Multi Ccy Hdg, (EUR) N A Valuta EUR Data 12.04.2021 NAV 10.14 Perf. YTD 1.78%
    Classe di quote LO Funds - High Yield 2022, Syst. Multi Ccy Hdg, (EUR) N D Valuta EUR Data 12.04.2021 NAV 10.02 Perf. YTD 1.78%
    Classe di quote LO Funds - High Yield 2022, Syst. Multi Ccy Hdg, (EUR) P A Valuta EUR Data 12.04.2021 NAV 9.97 Perf. YTD 1.64%
    Classe di quote LO Funds - High Yield 2022, Syst. Multi Ccy Hdg, (EUR) P D Valuta EUR Data 12.04.2021 NAV 9.30 Perf. YTD 1.64%
    Classe di quote LO Funds - High Yield 2022, Syst. Multi Ccy Hdg, (USD) M A Valuta USD Data 12.04.2021 NAV 10.88 Perf. YTD 1.94%
    Classe di quote LO Funds - High Yield 2022, Syst. Multi Ccy Hdg, (USD) M D Valuta USD Data 12.04.2021 NAV 9.45 Perf. YTD 1.94%
    Classe di quote LO Funds - High Yield 2022, Syst. Multi Ccy Hdg, (USD) N A Valuta USD Data 12.04.2021 NAV 10.93 Perf. YTD 1.98%
    Classe di quote LO Funds - High Yield 2022, Syst. Multi Ccy Hdg, (USD) N D Valuta USD Data 12.04.2021 NAV 9.44 Perf. YTD 1.98%
    Classe di quote LO Funds - High Yield 2022, Syst. Multi Ccy Hdg, (USD) P A Valuta USD Data 12.04.2021 NAV 10.76 Perf. YTD 1.84%
    Classe di quote LO Funds - High Yield 2022, Syst. Multi Ccy Hdg, (USD) P D Valuta USD Data 12.04.2021 NAV 9.44 Perf. YTD 1.84%
    Fondi LO Funds - High Yield 2023 22 Strategia Buy and Maintain Classe di Attivi Rendimento fisso Categoria Credito Share Classes 22
    Classe di quote Valuta Data NAV Perf. YTD
    Classe di quote LO Funds - High Yield 2023, Syst. Multi Ccy Hdg, (CHF) I A Valuta CHF Data 12.04.2021 NAV 11.18 Perf. YTD 2.02%
    Classe di quote LO Funds - High Yield 2023, Syst. Multi Ccy Hdg, (CHF) M A Valuta CHF Data 12.04.2021 NAV 11.13 Perf. YTD 1.97%
    Classe di quote LO Funds - High Yield 2023, Syst. Multi Ccy Hdg, (CHF) M D Valuta CHF Data 12.04.2021 NAV 10.46 Perf. YTD 1.97%
    Classe di quote LO Funds - High Yield 2023, Syst. Multi Ccy Hdg, (CHF) P A Valuta CHF Data 12.04.2021 NAV 11.03 Perf. YTD 1.87%
    Classe di quote LO Funds - High Yield 2023, Syst. Multi Ccy Hdg, (CHF) P D Valuta CHF Data 12.04.2021 NAV 10.44 Perf. YTD 1.87%
    Classe di quote LO Funds - High Yield 2023, Syst. Multi Ccy Hdg, (EUR) M A Valuta EUR Data 12.04.2021 NAV 11.20 Perf. YTD 2.05%
    Classe di quote LO Funds - High Yield 2023, Syst. Multi Ccy Hdg, (EUR) M D Valuta EUR Data 12.04.2021 NAV 10.45 Perf. YTD 2.05%
    Classe di quote LO Funds - High Yield 2023, Syst. Multi Ccy Hdg, (EUR) N A Valuta EUR Data 12.04.2021 NAV 11.24 Perf. YTD 2.08%
    Classe di quote LO Funds - High Yield 2023, Syst. Multi Ccy Hdg, (EUR) N D Valuta EUR Data 12.04.2021 NAV 10.46 Perf. YTD 2.08%
    Classe di quote LO Funds - High Yield 2023, Syst. Multi Ccy Hdg, (EUR) P A Valuta EUR Data 12.04.2021 NAV 11.10 Perf. YTD 1.94%
    Classe di quote LO Funds - High Yield 2023, Syst. Multi Ccy Hdg, (EUR) P D Valuta EUR Data 12.04.2021 NAV 10.42 Perf. YTD 1.94%
    Classe di quote LO Funds - High Yield 2023, Syst. Multi Ccy Hdg, (EUR) R A Valuta EUR Data 12.04.2021 NAV 10.99 Perf. YTD 1.83%
    Classe di quote LO Funds - High Yield 2023, Syst. Multi Ccy Hdg, (EUR) R D Valuta EUR Data 12.04.2021 NAV 10.40 Perf. YTD 1.83%
    Classe di quote LO Funds - High Yield 2023, Syst. Multi Ccy Hdg, (GBP) M A Valuta GBP Data 12.04.2021 NAV 11.27 Perf. YTD 2.20%
    Classe di quote LO Funds - High Yield 2023, Syst. Multi Ccy Hdg, (GBP) M D Valuta GBP Data 12.04.2021 NAV 10.21 Perf. YTD 2.20%
    Classe di quote LO Funds - High Yield 2023, Syst. Multi Ccy Hdg, (GBP) P A Valuta GBP Data 12.04.2021 NAV 10.68 Perf. YTD 2.10%
    Classe di quote LO Funds - High Yield 2023, Syst. Multi Ccy Hdg, (GBP) P D Valuta GBP Data 12.04.2021 NAV 10.19 Perf. YTD 2.10%
    Classe di quote LO Funds - High Yield 2023, Syst. Multi Ccy Hdg, (USD) M A Valuta USD Data 12.04.2021 NAV 11.81 Perf. YTD 2.24%
    Classe di quote LO Funds - High Yield 2023, Syst. Multi Ccy Hdg, (USD) M D Valuta USD Data 12.04.2021 NAV 10.37 Perf. YTD 2.23%
    Classe di quote LO Funds - High Yield 2023, Syst. Multi Ccy Hdg, (USD) N A Valuta USD Data 12.04.2021 NAV 11.85 Perf. YTD 2.27%
    Classe di quote LO Funds - High Yield 2023, Syst. Multi Ccy Hdg, (USD) P A Valuta USD Data 12.04.2021 NAV 11.71 Perf. YTD 2.13%
    Classe di quote LO Funds - High Yield 2023, Syst. Multi Ccy Hdg, (USD) P D Valuta USD Data 12.04.2021 NAV 10.34 Perf. YTD 2.13%
    Fondi LO Funds - High Yield 2024 19 Strategia Buy and Maintain Classe di Attivi Rendimento fisso Categoria Credito Share Classes 19
    Classe di quote Valuta Data NAV Perf. YTD
    Classe di quote LO Funds - High Yield 2024, Syst. Multi Ccy Hdg, (CHF) I D Valuta CHF Data 12.04.2021 NAV 10.24 Perf. YTD 1.90%
    Classe di quote LO Funds - High Yield 2024, Syst. Multi Ccy Hdg, (CHF) M A Valuta CHF Data 12.04.2021 NAV 10.34 Perf. YTD 1.86%
    Classe di quote LO Funds - High Yield 2024, Syst. Multi Ccy Hdg, (CHF) M D Valuta CHF Data 12.04.2021 NAV 10.23 Perf. YTD 1.86%
    Classe di quote LO Funds - High Yield 2024, Syst. Multi Ccy Hdg, (CHF) N A Valuta CHF Data 12.04.2021 NAV 10.35 Perf. YTD 1.89%
    Classe di quote LO Funds - High Yield 2024, Syst. Multi Ccy Hdg, (CHF) N D Valuta CHF Data 12.04.2021 NAV 10.24 Perf. YTD 1.89%
    Classe di quote LO Funds - High Yield 2024, Syst. Multi Ccy Hdg, (CHF) P A Valuta CHF Data 12.04.2021 NAV 10.30 Perf. YTD 1.75%
    Classe di quote LO Funds - High Yield 2024, Syst. Multi Ccy Hdg, (CHF) P D Valuta CHF Data 12.04.2021 NAV 10.21 Perf. YTD 1.75%
    Classe di quote LO Funds - High Yield 2024, Syst. Multi Ccy Hdg, (EUR) M A Valuta EUR Data 12.04.2021 NAV 10.36 Perf. YTD 1.95%
    Classe di quote LO Funds - High Yield 2024, Syst. Multi Ccy Hdg, (EUR) M D Valuta EUR Data 12.04.2021 NAV 10.23 Perf. YTD 1.95%
    Classe di quote LO Funds - High Yield 2024, Syst. Multi Ccy Hdg, (EUR) N A Valuta EUR Data 12.04.2021 NAV 10.37 Perf. YTD 1.98%
    Classe di quote LO Funds - High Yield 2024, Syst. Multi Ccy Hdg, (EUR) N D Valuta EUR Data 12.04.2021 NAV 10.30 Perf. YTD 1.98%
    Classe di quote LO Funds - High Yield 2024, Syst. Multi Ccy Hdg, (EUR) P A Valuta EUR Data 12.04.2021 NAV 10.31 Perf. YTD 1.84%
    Classe di quote LO Funds - High Yield 2024, Syst. Multi Ccy Hdg, (EUR) R A Valuta EUR Data 12.04.2021 NAV 10.27 Perf. YTD 1.73%
    Classe di quote LO Funds - High Yield 2024, Syst. Multi Ccy Hdg, (USD) M A Valuta USD Data 12.04.2021 NAV 10.53 Perf. YTD 2.21%
    Classe di quote LO Funds - High Yield 2024, Syst. Multi Ccy Hdg, (USD) M D Valuta USD Data 12.04.2021 NAV 10.26 Perf. YTD 2.21%
    Classe di quote LO Funds - High Yield 2024, Syst. Multi Ccy Hdg, (USD) N A Valuta USD Data 12.04.2021 NAV 10.55 Perf. YTD 2.25%
    Classe di quote LO Funds - High Yield 2024, Syst. Multi Ccy Hdg, (USD) N D Valuta USD Data 12.04.2021 NAV 10.28 Perf. YTD 2.24%
    Classe di quote LO Funds - High Yield 2024, Syst. Multi Ccy Hdg, (USD) P A Valuta USD Data 12.04.2021 NAV 10.49 Perf. YTD 2.10%
    Classe di quote LO Funds - High Yield 2024, Syst. Multi Ccy Hdg, (USD) P D Valuta USD Data 12.04.2021 NAV 10.25 Perf. YTD 2.10%
    Fondi LO Funds - Multiadvisers UCITS 12 Strategia Absolute return Classe di Attivi Alternatives Categoria Fund of Hedge Funds Share Classes 12
    Classe di quote Valuta Data NAV Perf. YTD
    Classe di quote LO Funds - Multiadvisers UCITS, Syst. NAV Hdg, Seed, (CHF) I A Valuta CHF Data 06.04.2021 NAV 887.90 Perf. YTD 1.14%
    Classe di quote LO Funds - Multiadvisers UCITS, Syst. NAV Hdg, Seed, (CHF) M A Valuta CHF Data 06.04.2021 NAV 878.52 Perf. YTD 1.08%
    Classe di quote LO Funds - Multiadvisers UCITS, Syst. NAV Hdg, X1, (CHF) M A Valuta CHF Data 06.04.2021 NAV 880.51 Perf. YTD 1.14%
    Classe di quote LO Funds - Multiadvisers UCITS, Seed, (EUR) M A Valuta EUR Data 06.04.2021 NAV 911.79 Perf. YTD 1.18%
    Classe di quote LO Funds - Multiadvisers UCITS, Seed, (EUR) M D Valuta EUR Data 06.04.2021 NAV 911.79 Perf. YTD 1.18%
    Classe di quote LO Funds - Multiadvisers UCITS, X1, (EUR) M A Valuta EUR Data 06.04.2021 NAV 915.10 Perf. YTD 1.23%
    Classe di quote LO Funds - Multiadvisers UCITS, X1, (EUR) M D Valuta EUR Data 06.04.2021 NAV 914.16 Perf. YTD 1.23%
    Classe di quote LO Funds - Multiadvisers UCITS, Syst. NAV Hdg, Seed, (GBP) M D Valuta GBP Data 06.04.2021 NAV 1017.20 Perf. YTD 1.30%
    Classe di quote LO Funds - Multiadvisers UCITS, Syst. NAV Hdg, X1, (GBP) M D Valuta GBP Data 06.04.2021 NAV 1019.69 Perf. YTD 1.36%
    Classe di quote LO Funds - Multiadvisers UCITS, Syst. NAV Hdg, Seed, (USD) M A Valuta USD Data 06.04.2021 NAV 929.20 Perf. YTD 1.43%
    Classe di quote LO Funds - Multiadvisers UCITS, Syst. NAV Hdg, Seed, (USD) N A Valuta USD Data 06.04.2021 NAV 1023.75 Perf. YTD 1.48%
    Classe di quote LO Funds - Multiadvisers UCITS, Syst. NAV Hdg, X1, (USD) M A Valuta USD Data 06.04.2021 NAV 932.57 Perf. YTD 1.49%
    Fondi LO Funds - Natural Capital 51 Strategia - Classe di Attivi Azioni Categoria Sustainable Thematics Share Classes 51
    Classe di quote Valuta Data NAV Perf. YTD
    Classe di quote LO Funds - Natural Capital, Syst. NAV Hdg, (CHF) I A Valuta CHF Data 12.04.2021 NAV 11.62 Perf. YTD 11.31%
    Classe di quote LO Funds - Natural Capital, Syst. NAV Hdg, (CHF) M A Valuta CHF Data 12.04.2021 NAV 11.61 Perf. YTD 11.24%
    Classe di quote LO Funds - Natural Capital, Syst. NAV Hdg, (CHF) M D Valuta CHF Data 12.04.2021 NAV 11.61 Perf. YTD 11.24%
    Classe di quote LO Funds - Natural Capital, Syst. NAV Hdg, (CHF) N A Valuta CHF Data 12.04.2021 NAV 11.62 Perf. YTD 11.30%
    Classe di quote LO Funds - Natural Capital, Syst. NAV Hdg, (CHF) P A Valuta CHF Data 12.04.2021 NAV 11.58 Perf. YTD 11.03%
    Classe di quote LO Funds - Natural Capital, Syst. NAV Hdg, Seed, (CHF) I A Valuta CHF Data 12.04.2021 NAV 11.64 Perf. YTD 11.43%
    Classe di quote LO Funds - Natural Capital, Syst. NAV Hdg, Seed, (CHF) M A Valuta CHF Data 12.04.2021 NAV 11.63 Perf. YTD 11.37%
    Classe di quote LO Funds - Natural Capital, Syst. NAV Hdg, Seed, (CHF) M D Valuta CHF Data 12.04.2021 NAV 11.63 Perf. YTD 11.37%
    Classe di quote LO Funds - Natural Capital, Syst. NAV Hdg, Seed, (CHF) N A Valuta CHF Data 12.04.2021 NAV 11.63 Perf. YTD 11.42%
    Classe di quote LO Funds - Natural Capital, Syst. NAV Hdg, Seed, (CHF) P A Valuta CHF Data 12.04.2021 NAV 11.60 Perf. YTD 11.12%
    Classe di quote LO Funds - Natural Capital, Syst. NAV Hdg, X1, Seed, (CHF) M A Valuta CHF Data 12.04.2021 NAV 11.64 Perf. YTD 11.44%
    Classe di quote LO Funds - Natural Capital, (EUR) N A Valuta EUR Data NAV 10.03 Perf. YTD -
    Classe di quote LO Funds - Natural Capital, Syst. NAV Hdg, (EUR) I A Valuta EUR Data 12.04.2021 NAV 11.63 Perf. YTD 11.41%
    Classe di quote LO Funds - Natural Capital, Syst. NAV Hdg, (EUR) M A Valuta EUR Data 12.04.2021 NAV 11.62 Perf. YTD 11.34%
    Classe di quote LO Funds - Natural Capital, Syst. NAV Hdg, (EUR) M D Valuta EUR Data 12.04.2021 NAV 11.62 Perf. YTD 11.34%
    Classe di quote LO Funds - Natural Capital, Syst. NAV Hdg, (EUR) N A Valuta EUR Data 12.04.2021 NAV 11.63 Perf. YTD 11.40%
    Classe di quote LO Funds - Natural Capital, Syst. NAV Hdg, (EUR) P A Valuta EUR Data 12.04.2021 NAV 11.59 Perf. YTD 11.13%
    Classe di quote LO Funds - Natural Capital, Syst. NAV Hdg, Seed, (EUR) I A Valuta EUR Data 12.04.2021 NAV 11.65 Perf. YTD 11.53%
    Classe di quote LO Funds - Natural Capital, Syst. NAV Hdg, Seed, (EUR) M A Valuta EUR Data 12.04.2021 NAV 11.64 Perf. YTD 11.47%
    Classe di quote LO Funds - Natural Capital, Syst. NAV Hdg, Seed, (EUR) M D Valuta EUR Data 12.04.2021 NAV 11.64 Perf. YTD 11.47%
    Classe di quote LO Funds - Natural Capital, Syst. NAV Hdg, Seed, (EUR) N A Valuta EUR Data 12.04.2021 NAV 11.65 Perf. YTD 11.52%
    Classe di quote LO Funds - Natural Capital, Syst. NAV Hdg, Seed, (EUR) P A Valuta EUR Data 12.04.2021 NAV 11.61 Perf. YTD 11.23%
    Classe di quote LO Funds - Natural Capital, Syst. NAV Hdg, X1, (EUR) M A Valuta EUR Data 12.04.2021 NAV 11.64 Perf. YTD 11.49%
    Classe di quote LO Funds - Natural Capital, Syst. NAV Hdg, X1, Seed, (EUR) M A Valuta EUR Data 12.04.2021 NAV 11.65 Perf. YTD 11.54%
    Classe di quote LO Funds - Natural Capital, Syst. NAV Hdg, X1, Seed, (EUR) M D Valuta EUR Data 12.04.2021 NAV 11.65 Perf. YTD 11.54%
    Classe di quote LO Funds - Natural Capital, Syst. NAV Hdg, (GBP) I A Valuta GBP Data 12.04.2021 NAV 11.66 Perf. YTD 11.57%
    Classe di quote LO Funds - Natural Capital, Syst. NAV Hdg, (GBP) M A Valuta GBP Data 12.04.2021 NAV 11.65 Perf. YTD 11.51%
    Classe di quote LO Funds - Natural Capital, Syst. NAV Hdg, (GBP) N A Valuta GBP Data 12.04.2021 NAV 11.66 Perf. YTD 11.58%
    Classe di quote LO Funds - Natural Capital, Syst. NAV Hdg, (GBP) N D Valuta GBP Data 12.04.2021 NAV 11.66 Perf. YTD 11.57%
    Classe di quote LO Funds - Natural Capital, Syst. NAV Hdg, (GBP) P A Valuta GBP Data 12.04.2021 NAV 11.63 Perf. YTD 11.30%
    Classe di quote LO Funds - Natural Capital, Syst. NAV Hdg, Seed, (GBP) M A Valuta GBP Data 12.04.2021 NAV 11.67 Perf. YTD 11.64%
    Classe di quote LO Funds - Natural Capital, Syst. NAV Hdg, Seed, (GBP) M D Valuta GBP Data 12.04.2021 NAV 11.67 Perf. YTD 11.64%
    Classe di quote LO Funds - Natural Capital, Syst. NAV Hdg, X1, (GBP) M D Valuta GBP Data 12.04.2021 NAV 11.67 Perf. YTD 11.66%
    Classe di quote LO Funds - Natural Capital, Syst. NAV Hdg, X1, Seed, (GBP) M D Valuta GBP Data 12.04.2021 NAV 11.68 Perf. YTD 11.71%
    Classe di quote LO Funds - Natural Capital, (USD) I A Valuta USD Data 12.04.2021 NAV 11.70 Perf. YTD 11.82%
    Classe di quote LO Funds - Natural Capital, (USD) M A Valuta USD Data 12.04.2021 NAV 11.69 Perf. YTD 11.76%
    Classe di quote LO Funds - Natural Capital, (USD) M D Valuta USD Data 12.04.2021 NAV 11.69 Perf. YTD 11.76%
    Classe di quote LO Funds - Natural Capital, (USD) N A Valuta USD Data 12.04.2021 NAV 11.70 Perf. YTD 11.81%
    Classe di quote LO Funds - Natural Capital, (USD) N D Valuta USD Data 12.04.2021 NAV 11.70 Perf. YTD 11.81%
    Classe di quote LO Funds - Natural Capital, (USD) P A Valuta USD Data 12.04.2021 NAV 11.66 Perf. YTD 11.54%
    Classe di quote LO Funds - Natural Capital, Seed, (USD) I A Valuta USD Data 12.04.2021 NAV 11.72 Perf. YTD 11.94%
    Classe di quote LO Funds - Natural Capital, Seed, (USD) M A Valuta USD Data 12.04.2021 NAV 11.71 Perf. YTD 11.89%
    Classe di quote LO Funds - Natural Capital, Seed, (USD) M D Valuta USD Data 12.04.2021 NAV 11.71 Perf. YTD 11.89%
    Classe di quote LO Funds - Natural Capital, Seed, (USD) N A Valuta USD Data 12.04.2021 NAV 11.71 Perf. YTD 11.93%
    Classe di quote LO Funds - Natural Capital, Seed, (USD) N D Valuta USD Data 12.04.2021 NAV 11.71 Perf. YTD 11.93%
    Classe di quote LO Funds - Natural Capital, Seed, (USD) P A Valuta USD Data 12.04.2021 NAV 11.68 Perf. YTD 11.64%
    Classe di quote LO Funds - Natural Capital, Seed, (USD) P D Valuta USD Data 12.04.2021 NAV 11.67 Perf. YTD 11.55%
    Classe di quote LO Funds - Natural Capital, X1, (USD) M A Valuta USD Data 12.04.2021 NAV 11.71 Perf. YTD 11.90%
    Classe di quote LO Funds - Natural Capital, X1, (USD) M D Valuta USD Data 12.04.2021 NAV 11.71 Perf. YTD 11.90%
    Classe di quote LO Funds - Natural Capital, X1, Seed, (USD) M A Valuta USD Data 12.04.2021 NAV 11.71 Perf. YTD 11.95%
    Classe di quote LO Funds - Natural Capital, X1, Seed, (USD) M D Valuta USD Data 12.04.2021 NAV 11.71 Perf. YTD 11.95%
    Fondi LO Funds - Short-Term Money Market (CHF) 6 Strategia Cash Strategies Classe di Attivi Rendimento fisso Categoria Monetario Share Classes 6
    Classe di quote Valuta Data NAV Perf. YTD
    Classe di quote LO Funds - Short-Term Money Market (CHF) I A Valuta CHF Data 13.04.2021 NAV 124.01 Perf. YTD -0.21%
    Classe di quote LO Funds - Short-Term Money Market (CHF) M A Valuta CHF Data 13.04.2021 NAV 123.02 Perf. YTD -0.23%
    Classe di quote LO Funds - Short-Term Money Market (CHF) N A Valuta CHF Data 13.04.2021 NAV 124.01 Perf. YTD -0.21%
    Classe di quote LO Funds - Short-Term Money Market (CHF) N D Valuta CHF Data 13.04.2021 NAV 124.01 Perf. YTD -0.21%
    Classe di quote LO Funds - Short-Term Money Market (CHF) P A Valuta CHF Data 13.04.2021 NAV 123.01 Perf. YTD -0.23%
    Classe di quote LO Funds - Short-Term Money Market (CHF) P D Valuta CHF Data 13.04.2021 NAV 109.46 Perf. YTD -0.23%
    Fondi LO Funds - Short-Term Money Market (EUR) 12 Strategia Cash Strategies Classe di Attivi Rendimento fisso Categoria Monetario Share Classes 12
    Classe di quote Valuta Data NAV Perf. YTD
    Classe di quote LO Funds - Short-Term Money Market (EUR) I A Valuta EUR Data 13.04.2021 NAV 111.22 Perf. YTD -0.15%
    Classe di quote LO Funds - Short-Term Money Market (EUR) I D Valuta EUR Data 13.04.2021 NAV 111.09 Perf. YTD -0.15%
    Classe di quote LO Funds - Short-Term Money Market (EUR) M A Valuta EUR Data 13.04.2021 NAV 109.82 Perf. YTD -0.17%
    Classe di quote LO Funds - Short-Term Money Market (EUR) M D Valuta EUR Data 13.04.2021 NAV 96.15 Perf. YTD -0.17%
    Classe di quote LO Funds - Short-Term Money Market (EUR) N A Valuta EUR Data 13.04.2021 NAV 111.22 Perf. YTD -0.15%
    Classe di quote LO Funds - Short-Term Money Market (EUR) N D Valuta EUR Data 13.04.2021 NAV 110.60 Perf. YTD -0.15%
    Classe di quote LO Funds - Short-Term Money Market (EUR) P A Valuta EUR Data 13.04.2021 NAV 109.43 Perf. YTD -0.19%
    Classe di quote LO Funds - Short-Term Money Market (EUR) P D Valuta EUR Data 13.04.2021 NAV 95.75 Perf. YTD -0.19%
    Classe di quote LO Funds - Short-Term Money Market (EUR) R A Valuta EUR Data 13.04.2021 NAV 105.74 Perf. YTD -0.25%
    Classe di quote LO Funds - Short-Term Money Market (EUR) S A Valuta EUR Data 13.04.2021 NAV 111.70 Perf. YTD -0.13%
    Classe di quote LO Funds - Short-Term Money Market (EUR), X1 M A Valuta EUR Data 13.04.2021 NAV 109.96 Perf. YTD -0.15%
    Classe di quote LO Funds - Short-Term Money Market (EUR), X1 M D Valuta EUR Data 13.04.2021 NAV 96.18 Perf. YTD -0.15%
    Fondi LO Funds - Short-Term Money Market (GBP) 9 Strategia Cash Strategies Classe di Attivi Rendimento fisso Categoria Monetario Share Classes 9
    Classe di quote Valuta Data NAV Perf. YTD
    Classe di quote LO Funds - Short-Term Money Market (GBP) I A Valuta GBP Data 13.04.2021 NAV 10.62 Perf. YTD -0.02%
    Classe di quote LO Funds - Short-Term Money Market (GBP) M A Valuta GBP Data 13.04.2021 NAV 10.52 Perf. YTD -0.05%
    Classe di quote LO Funds - Short-Term Money Market (GBP) M D Valuta GBP Data 13.04.2021 NAV 9.96 Perf. YTD -0.05%
    Classe di quote LO Funds - Short-Term Money Market (GBP) N A Valuta GBP Data 13.04.2021 NAV 10.62 Perf. YTD -0.02%
    Classe di quote LO Funds - Short-Term Money Market (GBP) P A Valuta GBP Data 13.04.2021 NAV 10.42 Perf. YTD -0.07%
    Classe di quote LO Funds - Short-Term Money Market (GBP) P D Valuta GBP Data 13.04.2021 NAV 9.92 Perf. YTD -0.07%
    Classe di quote LO Funds - Short-Term Money Market (GBP) R A Valuta GBP Data 13.04.2021 NAV 10.23 Perf. YTD -0.10%
    Classe di quote LO Funds - Short-Term Money Market (GBP), X1 M A Valuta GBP Data 13.04.2021 NAV 10.53 Perf. YTD -0.02%