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    Capital at risk. The value of investments and the income from them may go down as well as up and investors may not get back the amount invested. The products do not benefit from any guarantee to protect the capital. Several risks and costs apply. All the costs and risks are detailed in the Prospectus and KID, available in the “documents” section of the fund page.

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    Showing 1732 of 1732 total share classes

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    Funds Asset Class Category Strategy
    LO Perspective - Sierra Nevada1Asset ClassMulti-AssetCategory - Strategy -
    Share Class Currency Date NAV
    LO Perspective - Sierra Nevada P ACurrencyEURDate12/3/25NAV1067.63
    LO Perspective - Tourmalet1Asset ClassMulti-AssetCategoryBalanced ProfileStrategyAsset Allocation
    Share Class Currency Date NAV
    LO Perspective - Tourmalet ACurrencyEURDate12/3/25NAV1474.68
    LO Perspective - Troncones Investments1Asset ClassMulti-AssetCategoryBalanced ProfileStrategyAsset Allocation
    Share Class Currency Date NAV
    LO Perspective - Troncones Investments P ACurrencyEURDate12/3/25NAV1314.56
    LO Perspective - Wetblue1Asset ClassMulti-AssetCategoryBalanced ProfileStrategyAsset Allocation
    Share Class Currency Date NAV
    LO Perspective - Wetblue P ACurrencyEURDate12/3/25NAV1952.14
    LO Selection - Antara1Asset ClassMulti-AssetCategoryBalanced ProfileStrategyAsset Allocation
    Share Class Currency Date NAV
    LO Selection - Antara P ACurrencyEURDate11/28/25NAV1485.91
    LO Selection - Casta1Asset ClassMulti-AssetCategoryBalanced ProfileStrategyAsset Allocation
    Share Class Currency Date NAV
    LO Selection - Casta P DCurrencyEURDate11/28/25NAV1767.38
    LO Selection - Eurozone7Asset ClassEquitiesCategoryEuropeStrategyActive Strategy
    Share Class Currency Date NAV
    LO Selection - Eurozone, (EUR) I A CurrencyEURDate12/3/25NAV131.56
    LO Selection - Eurozone, (EUR) M A CurrencyEURDate12/3/25NAV131.25
    LO Selection - Eurozone, (EUR) M D CurrencyEURDate12/3/25NAV125.34
    LO Selection - Eurozone, (EUR) N A CurrencyEURDate12/3/25NAV131.4
    LO Selection - Eurozone, (EUR) P A CurrencyEURDate12/3/25NAV130.57
    LO Selection - Eurozone, X1, (EUR) M A CurrencyEURDate12/3/25NAV131.56
    LO Selection - Eurozone, X1, (EUR) M D CurrencyEURDate12/3/25NAV125.39
    LO Selection - Global Equity Eurozone Focus4Asset ClassEquitiesCategoryGlobalStrategyActive Strategy
    Share Class Currency Date NAV
    LO Selection - Global Equity Eurozone Focus, (EUR) M A CurrencyEURDate12/3/25NAV99.1
    LO Selection - Global Equity Eurozone Focus, (EUR) M D CurrencyEURDate12/3/25NAV99.1
    LO Selection - Global Equity Eurozone Focus, X1, (EUR) M A CurrencyEURDate12/3/25NAV99.11
    LO Selection - Global Equity Eurozone Focus, X1, (EUR) M D CurrencyEURDate12/3/25NAV99.11
    LO Selection - Kapalea1Asset ClassMulti-AssetCategoryBalanced ProfileStrategyAsset Allocation
    Share Class Currency Date NAV
    LO Selection - Kapalea P ACurrencyEURDate11/28/25NAV1350.73
    LO Selection - TargetNetZero (CHF) Credit Bond7Asset ClassFixed IncomeCategoryCreditStrategySustainable Fixed Income
    Share Class Currency Date NAV
    LO Selection - TargetNetZero (CHF) Credit Bond I A CurrencyCHFDate12/3/25NAV124.23
    LO Selection - TargetNetZero (CHF) Credit Bond M A CurrencyCHFDate12/3/25NAV121.44
    LO Selection - TargetNetZero (CHF) Credit Bond M D CurrencyCHFDate12/3/25NAV111.64
    LO Selection - TargetNetZero (CHF) Credit Bond N A CurrencyCHFDate12/3/25NAV123.25
    LO Selection - TargetNetZero (CHF) Credit Bond N D CurrencyCHFDate12/3/25NAV118.47
    LO Selection - TargetNetZero (CHF) Credit Bond P A CurrencyCHFDate12/3/25NAV114.29
    LO Selection - TargetNetZero (CHF) Credit Bond, X1 M A CurrencyCHFDate12/3/25NAV123.57
    LO Selection - TargetNetZero (EUR) Credit Bond7Asset ClassFixed IncomeCategoryCreditStrategySustainable Fixed Income
    Share Class Currency Date NAV
    LO Selection - TargetNetZero (EUR) Credit Bond M A CurrencyEURDate12/3/25NAV143.16
    LO Selection - TargetNetZero (EUR) Credit Bond M D CurrencyEURDate12/3/25NAV119.81
    LO Selection - TargetNetZero (EUR) Credit Bond N A CurrencyEURDate12/3/25NAV145.32
    LO Selection - TargetNetZero (EUR) Credit Bond N D CurrencyEURDate12/3/25NAV130.73
    LO Selection - TargetNetZero (EUR) Credit Bond P A CurrencyEURDate12/3/25NAV133.32
    LO Selection - TargetNetZero (EUR) Credit Bond, X1 M A CurrencyEURDate12/3/25NAV146.58
    LO Selection - TargetNetZero (EUR) Credit Bond, X1 M D CurrencyEURDate12/3/25NAV122.2
    LO Selection - TargetNetZero (USD) Credit Bond8Asset ClassFixed IncomeCategoryCreditStrategySustainable Fixed Income
    Share Class Currency Date NAV
    LO Selection - TargetNetZero (USD) Credit Bond I A CurrencyUSDDate12/3/25NAV138.1
    LO Selection - TargetNetZero (USD) Credit Bond M A CurrencyUSDDate12/3/25NAV134.89
    LO Selection - TargetNetZero (USD) Credit Bond M D CurrencyUSDDate12/3/25NAV101.53
    LO Selection - TargetNetZero (USD) Credit Bond N A CurrencyUSDDate12/3/25NAV136.91
    LO Selection - TargetNetZero (USD) Credit Bond P A CurrencyUSDDate12/3/25NAV126.27
    LO Selection - TargetNetZero (USD) Credit Bond P D CurrencyUSDDate12/3/25NAV103.64
    LO Selection - TargetNetZero (USD) Credit Bond, X1 M A CurrencyUSDDate12/3/25NAV138.13
    LO Selection - TargetNetZero (USD) Credit Bond, X1 M D CurrencyUSDDate12/3/25NAV102.34
    LO Selection - The Balanced (CHF)7Asset ClassMulti-AssetCategoryBalanced ProfileStrategyAsset Allocation
    Share Class Currency Date NAV
    LO Selection - The Balanced (CHF) EM A CurrencyCHFDate12/3/25NAV136.06
    LO Selection - The Balanced (CHF) I A CurrencyCHFDate12/3/25NAV142.17
    LO Selection - The Balanced (CHF) M A CurrencyCHFDate12/3/25NAV133.25
    LO Selection - The Balanced (CHF) M D CurrencyCHFDate12/3/25NAV133.11
    LO Selection - The Balanced (CHF) N A CurrencyCHFDate12/3/25NAV137.85
    LO Selection - The Balanced (CHF) N D CurrencyCHFDate12/3/25NAV137.85
    LO Selection - The Balanced (CHF) P A CurrencyCHFDate12/3/25NAV127.7
    LO Selection - The Balanced (EUR)9Asset ClassMulti-AssetCategoryBalanced ProfileStrategyAsset Allocation
    Share Class Currency Date NAV
    LO Selection - The Balanced (EUR) EM A CurrencyEURDate12/3/25NAV184.78
    LO Selection - The Balanced (EUR) I A CurrencyEURDate12/3/25NAV180.41
    LO Selection - The Balanced (EUR) M A CurrencyEURDate12/3/25NAV171.15
    LO Selection - The Balanced (EUR) M D CurrencyEURDate12/3/25NAV171.06
    LO Selection - The Balanced (EUR) N A CurrencyEURDate12/3/25NAV177.05
    LO Selection - The Balanced (EUR) N D CurrencyEURDate12/3/25NAV177.05
    LO Selection - The Balanced (EUR) P A CurrencyEURDate12/3/25NAV163.98
    LO Selection - The Balanced (EUR) P D CurrencyEURDate12/3/25NAV163.98
    LO Selection - The Balanced (EUR) U A CurrencyEURDate12/3/25NAV184.33
    LO Selection - The Balanced (USD)9Asset ClassMulti-AssetCategoryBalanced ProfileStrategyAsset Allocation
    Share Class Currency Date NAV
    LO Selection - The Balanced (USD), Syst. Hdg, (AUD) N A CurrencyAUDDate12/3/25NAV100.96
    LO Selection - The Balanced (USD) I A CurrencyUSDDate12/3/25NAV168.92
    LO Selection - The Balanced (USD) M A CurrencyUSDDate12/3/25NAV164.09
    LO Selection - The Balanced (USD) M D CurrencyUSDDate12/3/25NAV163.65
    LO Selection - The Balanced (USD) N A CurrencyUSDDate12/3/25NAV167.02
    LO Selection - The Balanced (USD) N D CurrencyUSDDate12/3/25NAV166.03
    LO Selection - The Balanced (USD) P A CurrencyUSDDate12/3/25NAV157.22
    LO Selection - The Balanced (USD) U A CurrencyUSDDate12/3/25NAV169.14
    LO Selection - The Balanced (USD), X3 M A CurrencyUSDDate12/3/25NAV168.93
    LO Selection - The Conservative (CHF)5Asset ClassMulti-AssetCategoryConservative ProfileStrategyAsset Allocation
    Share Class Currency Date NAV
    LO Selection - The Conservative (CHF) EM A CurrencyCHFDate12/3/25NAV107.6
    LO Selection - The Conservative (CHF) M A CurrencyCHFDate12/3/25NAV107.72
    LO Selection - The Conservative (CHF) M D CurrencyCHFDate12/3/25NAV107.81
    LO Selection - The Conservative (CHF) N A CurrencyCHFDate12/3/25NAV109.23
    LO Selection - The Conservative (CHF) P A CurrencyCHFDate12/3/25NAV103.23
    LO Selection - The Conservative (EUR)6Asset ClassMulti-AssetCategoryConservative ProfileStrategyAsset Allocation
    Share Class Currency Date NAV
    LO Selection - The Conservative (EUR) EM A CurrencyEURDate12/3/25NAV110.55
    LO Selection - The Conservative (EUR) M A CurrencyEURDate12/3/25NAV127.53
    LO Selection - The Conservative (EUR) M D CurrencyEURDate12/3/25NAV127.53
    LO Selection - The Conservative (EUR) N A CurrencyEURDate12/3/25NAV131.08
    LO Selection - The Conservative (EUR) N D CurrencyEURDate12/3/25NAV131.08
    LO Selection - The Conservative (EUR) P A CurrencyEURDate12/3/25NAV122.18
    LO Selection - The Conservative (USD)5Asset ClassMulti-AssetCategoryConservative ProfileStrategyAsset Allocation
    Share Class Currency Date NAV
    LO Selection - The Conservative (USD) I A CurrencyUSDDate12/3/25NAV137.63
    LO Selection - The Conservative (USD) M A CurrencyUSDDate12/3/25NAV135.47
    LO Selection - The Conservative (USD) M D CurrencyUSDDate12/3/25NAV129.32
    LO Selection - The Conservative (USD) N A CurrencyUSDDate12/3/25NAV137.58
    LO Selection - The Conservative (USD) P A CurrencyUSDDate12/3/25NAV129.77
    LO Selection - The Global Allocation (GBP)2Asset ClassMulti-AssetCategoryBalanced ProfileStrategyAsset Allocation
    Share Class Currency Date NAV
    LO Selection - The Global Allocation (GBP) P A CurrencyGBPDate12/3/25NAV15.86
    LO Selection - The Global Allocation (GBP) P D CurrencyGBPDate12/3/25NAV14.98
    LO Selection - The Global Balanced (EUR)5Asset ClassMulti-AssetCategoryBalanced ProfileStrategyAsset Allocation
    Share Class Currency Date NAV
    LO Selection - The Global Balanced (EUR) M A CurrencyEURDate12/3/25NAV111.87
    LO Selection - The Global Balanced (EUR) M D CurrencyEURDate12/3/25NAV111.87
    LO Selection - The Global Balanced (EUR) N A CurrencyEURDate12/3/25NAV112.57
    LO Selection - The Global Balanced (EUR) P A CurrencyEURDate12/3/25NAV110.43
    LO Selection - The Global Balanced (EUR), X1 N D CurrencyEURDate12/3/25NAV114.25
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    Capital at risk. The value of investments and the income from them may go down as well as up and investors may not get back the amount invested. The products do not benefit from any guarantee to protect the capital. Several risks and costs apply. All the costs and risks are detailed in the Prospectus and KID, available in the “documents” section of the fund page.

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