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    investment viewpoints

    I can’t say I’m bullish

    January 31, 2023

    Risk appetite measures are offering investors mixed signals. Does the current market rally have legs?

    I can’t say I’m bullish
    investment viewpoints

    I can’t say I’m bullish

    investment viewpoints

    Sustainability watch: electric vehicles, hydrogen power, and natural capital

    January 30, 2023

    A selection of stories from January which reflect the fast-moving pace of the sustainability transition and related investment implications.

    Sustainability watch: electric vehicles, hydrogen power, and natural capital
    investment viewpoints

    Sustainability watch: electric vehicles, hydrogen power, and natural capital

    investment viewpoints

    New food systems: precision fermentation and cultivated meat

    January 26, 2023

    Alternative proteins can help enable land restoration and reduce emissions. Our latest case study examines two of the newer business models in this field.

    New food systems: precision fermentation and cultivated meat
    investment viewpoints

    New food systems: precision fermentation and cultivated meat

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    Showing 2028 of 2028 total share classes

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    Funds Strategy Asset Class Category
    Funds 1798 Fundamental Strategies Fund Ltd 15 Strategy Offshore Strategies Asset Class Alternatives Category - Share Classes 15
    Share Class Currency Date NAV Perf.YTD
    Share Class 1798 Fundamental Strategies (CHF) A (Restr.) A Currency CHF Date 30.12.2022 NAV 159.68 Perf.YTD -0.44%
    Share Class 1798 Fundamental Strategies (CHF) A1 (Unrestr.) A Currency CHF Date 30.12.2022 NAV 164.62 Perf.YTD -0.44%
    Share Class 1798 Fundamental Strategies (CHF) B (Restr.) A Currency CHF Date 30.12.2022 NAV 172.55 Perf.YTD 0.06%
    Share Class 1798 Fundamental Strategies (CHF) B1 (Unrestr.) A Currency CHF Date 30.12.2022 NAV 179.15 Perf.YTD 0.06%
    Share Class 1798 Fundamental Strategies (EUR) A (Rest.) A Currency EUR Date 30.12.2022 NAV 168.46 Perf.YTD -0.15%
    Share Class 1798 Fundamental Strategies (EUR) A1 (Unrestr.) A Currency EUR Date 30.12.2022 NAV 174.08 Perf.YTD -0.15%
    Share Class 1798 Fundamental Strategies (EUR) B (Restr.) A Currency EUR Date 30.12.2022 NAV 183.19 Perf.YTD 0.35%
    Share Class 1798 Fundamental Strategies (EUR) B1 (Unrestr.) A Currency EUR Date 30.12.2022 NAV 189.43 Perf.YTD 0.35%
    Share Class 1798 Fundamental Strategies (GBP) A (Restr.) A Currency GBP Date 30.12.2022 NAV 138.67 Perf.YTD 2.03%
    Share Class 1798 Fundamental Strategies (GBP) A1 (Unrestr.) A Currency GBP Date 30.12.2022 NAV 146.43 Perf.YTD 2.03%
    Share Class 1798 Fundamental Strategies (JPY) J A Currency JPY Date 31.01.2020 NAV 103.25 Perf.YTD 0.66%
    Share Class 1798 Fundamental Strategies (USD) A (Rest.) A Currency USD Date 30.12.2022 NAV 199.74 Perf.YTD 2.54%
    Share Class 1798 Fundamental Strategies (USD) A1 (Unrestr.) A Currency USD Date 30.12.2022 NAV 206.66 Perf.YTD 2.54%
    Share Class 1798 Fundamental Strategies (USD) B (Restr.) A Currency USD Date 30.12.2022 NAV 217.37 Perf.YTD 3.05%
    Share Class 1798 Fundamental Strategies (USD) B1 (Unrestr.) A Currency USD Date 30.12.2022 NAV 224.98 Perf.YTD 3.05%
    Funds LO Funds (CH) - Balanced Allocation (CHF) 1 Strategy Active Strategy Asset Class Asset Allocation Category Balanced Profile Share Classes 1
    Share Class Currency Date NAV Perf.YTD
    Share Class LO Funds (CH) - Balanced Allocation (CHF) P D Currency CHF Date 02.02.2023 NAV 96.08 Perf.YTD 3.97%
    Funds LO Funds (CH) - Commodity Risk Premia ex-Agri 8 Strategy Liquid Alternatives Strategies Asset Class Alternatives Category - Share Classes 8
    Share Class Currency Date NAV Perf.YTD
    Share Class LO Funds (CH) - Commodity Risk Premia ex-Agri, CHF-SH I D Currency CHF Date 02.02.2023 NAV 80.29 Perf.YTD 1.57%
    Share Class LO Funds (CH) - Commodity Risk Premia ex-Agri, CHF-SH M D Currency CHF Date 02.02.2023 NAV 79.84 Perf.YTD 1.56%
    Share Class LO Funds (CH) - Commodity Risk Premia ex-Agri, CHF-SH P D Currency CHF Date 02.02.2023 NAV 75.59 Perf.YTD 1.50%
    Share Class LO Funds (CH) - Commodity Risk Premia ex-Agri, CHF-SH S D Currency CHF Date 02.02.2023 NAV 82.09 Perf.YTD 1.63%
    Share Class LO Funds (CH) - Commodity Risk Premia ex-Agri, CHF-SH Z D Currency CHF Date 02.02.2023 NAV 82.03 Perf.YTD 1.65%
    Share Class LO Funds (CH) - Commodity Risk Premia ex-Agri, EUR-SH M D Currency EUR Date 02.02.2023 NAV 126.08 Perf.YTD 1.65%
    Share Class LO Funds (CH) - Commodity Risk Premia ex-Agri M D Currency USD Date 02.02.2023 NAV 138.91 Perf.YTD 1.97%
    Share Class LO Funds (CH) - Commodity Risk Premia ex-Agri P D Currency USD Date 02.02.2023 NAV 132.32 Perf.YTD 1.91%
    Funds LO Funds (CH) - Global Government Fundamental Long Duration 2 Strategy Fundamental Fixed Income Asset Class Fixed Income Category Government Share Classes 2
    Share Class Currency Date NAV Perf.YTD
    Share Class LO Funds (CH) - Global Government Fundamental Long Duration, CHF-SH Z D Currency CHF Date 02.02.2023 NAV 70.60 Perf.YTD 5.08%
    Share Class LO Funds (CH) - Global Government Fundamental Long Duration, EUR-SH Z D Currency EUR Date 02.02.2023 NAV 77.66 Perf.YTD 5.17%
    Funds LO Funds (CH) - Short-Term Money Market (CHF) 7 Strategy Cash Strategies Asset Class Fixed Income Category Money Market Share Classes 7
    Share Class Currency Date NAV Perf.YTD
    Share Class LO Funds (CH) - Short-Term Money Market (CHF) I A Currency CHF Date 03.02.2023 NAV 100.13 Perf.YTD 0.08%
    Share Class LO Funds (CH) - Short-Term Money Market (CHF) I D Currency CHF Date 03.02.2023 NAV 92.22 Perf.YTD 0.07%
    Share Class LO Funds (CH) - Short-Term Money Market (CHF) M D Currency CHF Date 03.02.2023 NAV 92.37 Perf.YTD 0.07%
    Share Class LO Funds (CH) - Short-Term Money Market (CHF) P D Currency CHF Date 03.02.2023 NAV 92.26 Perf.YTD 0.07%
    Share Class LO Funds (CH) - Short-Term Money Market (CHF) S D Currency CHF Date 03.02.2023 NAV 92.23 Perf.YTD 0.08%
    Share Class LO Funds (CH) - Short-Term Money Market (CHF) T A Currency CHF Date 03.02.2023 NAV 92.22 Perf.YTD 0.07%
    Share Class LO Funds (CH) - Short-Term Money Market (CHF) U D Currency CHF Date 03.02.2023 NAV 92.98 Perf.YTD 0.08%
    Funds LO Funds (CH) - Short-Term Money Market (EUR) 5 Strategy Cash Strategies Asset Class Fixed Income Category Money Market Share Classes 5
    Share Class Currency Date NAV Perf.YTD
    Share Class LO Funds (CH) - Short-Term Money Market (EUR) I A Currency EUR Date 03.02.2023 NAV 94.56 Perf.YTD 0.18%
    Share Class LO Funds (CH) - Short-Term Money Market (EUR) I D Currency EUR Date 03.02.2023 NAV 94.44 Perf.YTD 0.18%
    Share Class LO Funds (CH) - Short-Term Money Market (EUR) M D Currency EUR Date 03.02.2023 NAV 94.34 Perf.YTD 0.18%
    Share Class LO Funds (CH) - Short-Term Money Market (EUR) P A Currency EUR Date 03.02.2023 NAV 94.44 Perf.YTD 0.17%
    Share Class LO Funds (CH) - Short-Term Money Market (EUR) P D Currency EUR Date 03.02.2023 NAV 94.10 Perf.YTD 0.17%
    Funds LO Funds (CH) - Short-Term Money Market (USD) 5 Strategy Cash Strategies Asset Class Fixed Income Category Money Market Share Classes 5
    Share Class Currency Date NAV Perf.YTD
    Share Class LO Funds (CH) - Short-Term Money Market (USD) I D Currency USD Date 03.02.2023 NAV 98.30 Perf.YTD 0.44%
    Share Class LO Funds (CH) - Short-Term Money Market (USD) M D Currency USD Date 03.02.2023 NAV 98.33 Perf.YTD 0.44%
    Share Class LO Funds (CH) - Short-Term Money Market (USD) P D Currency USD Date 03.02.2023 NAV 98.23 Perf.YTD 0.43%
    Share Class LO Funds (CH) - Short-Term Money Market (USD) S D Currency USD Date 03.02.2023 NAV 107.83 Perf.YTD 0.45%
    Share Class LO Funds (CH) - Short-Term Money Market (USD) U D Currency USD Date 03.02.2023 NAV 99.54 Perf.YTD 0.45%
    Funds LO Funds (CH) - Swiss Equities Tracker+ ESG 4 Strategy Systematic Asset Class Equities Category Switzerland Share Classes 4
    Share Class Currency Date NAV Perf.YTD
    Share Class LO Funds (CH) - Swiss Equities Tracker+ ESG I D Currency CHF Date 02.02.2023 NAV 188.97 Perf.YTD 5.21%
    Share Class LO Funds (CH) - Swiss Equities Tracker+ ESG M D Currency CHF Date 02.02.2023 NAV 188.51 Perf.YTD 5.21%
    Share Class LO Funds (CH) - Swiss Equities Tracker+ ESG P D Currency CHF Date 02.02.2023 NAV 188.23 Perf.YTD 5.20%
    Share Class LO Funds (CH) - Swiss Equities Tracker+ ESG Z D Currency CHF Date 02.02.2023 NAV 189.61 Perf.YTD 5.23%
    Funds LO Funds (CH) - Swiss Franc Bond 5 Strategy Swiss Fixed Income Asset Class Fixed Income Category Aggregate Share Classes 5
    Share Class Currency Date NAV Perf.YTD
    Share Class LO Funds (CH) - Swiss Franc Bond I D Currency CHF Date 02.02.2023 NAV 101.26 Perf.YTD 3.76%
    Share Class LO Funds (CH) - Swiss Franc Bond M D Currency CHF Date 02.02.2023 NAV 100.35 Perf.YTD 3.76%
    Share Class LO Funds (CH) - Swiss Franc Bond P D Currency CHF Date 02.02.2023 NAV 100.40 Perf.YTD 3.73%
    Share Class LO Funds (CH) - Swiss Franc Bond S D Currency CHF Date 02.02.2023 NAV 102.04 Perf.YTD 3.77%
    Share Class LO Funds (CH) - Swiss Franc Bond Z D Currency CHF Date 02.02.2023 NAV 101.43 Perf.YTD 3.78%
    Funds LO Funds (CH) - Swiss Franc Credit Bond 5 Strategy Swiss Fixed Income Asset Class Fixed Income Category Credit Share Classes 5
    Share Class Currency Date NAV Perf.YTD
    Share Class LO Funds (CH) - Swiss Franc Credit Bond I D Currency CHF Date 02.02.2023 NAV 107.76 Perf.YTD 2.75%
    Share Class LO Funds (CH) - Swiss Franc Credit Bond M D Currency CHF Date 02.02.2023 NAV 107.39 Perf.YTD 2.75%
    Share Class LO Funds (CH) - Swiss Franc Credit Bond P D Currency CHF Date 02.02.2023 NAV 107.47 Perf.YTD 2.72%
    Share Class LO Funds (CH) - Swiss Franc Credit Bond S D Currency CHF Date 02.02.2023 NAV 107.75 Perf.YTD 2.76%
    Share Class LO Funds (CH) - Swiss Franc Credit Bond Z D Currency CHF Date 02.02.2023 NAV 107.91 Perf.YTD 2.79%
    Funds LO Funds (CH) - Swiss Franc High Grade Bond 4 Strategy Swiss Fixed Income Asset Class Fixed Income Category Aggregate Share Classes 4
    Share Class Currency Date NAV Perf.YTD
    Share Class LO Funds (CH) - Swiss Franc High Grade Bond I D Currency CHF Date 02.02.2023 NAV 105.19 Perf.YTD 3.72%
    Share Class LO Funds (CH) - Swiss Franc High Grade Bond M D Currency CHF Date 02.02.2023 NAV 106.94 Perf.YTD 3.72%
    Share Class LO Funds (CH) - Swiss Franc High Grade Bond P D Currency CHF Date 02.02.2023 NAV 104.94 Perf.YTD 3.70%
    Share Class LO Funds (CH) - Swiss Franc High Grade Bond Z D Currency CHF Date 02.02.2023 NAV 105.40 Perf.YTD 3.74%
    Funds LO Funds (CH) - Swiss Leaders 4 Strategy High Conviction Asset Class Equities Category Switzerland Share Classes 4
    Share Class Currency Date NAV Perf.YTD
    Share Class LO Funds (CH) - Swiss Leaders I D Currency CHF Date 02.02.2023 NAV 209.55 Perf.YTD 5.31%
    Share Class LO Funds (CH) - Swiss Leaders M D Currency CHF Date 02.02.2023 NAV 208.13 Perf.YTD 5.31%
    Share Class LO Funds (CH) - Swiss Leaders P D Currency CHF Date 02.02.2023 NAV 203.35 Perf.YTD 5.24%
    Share Class LO Funds (CH) - Swiss Leaders S D Currency CHF Date 02.02.2023 NAV 229.18 Perf.YTD 5.34%
    Funds LO Funds (CH) - Swiss Small & Mid Caps 5 Strategy High Conviction Asset Class Equities Category Switzerland Share Classes 5
    Share Class Currency Date NAV Perf.YTD
    Share Class LO Funds (CH) - Swiss Small & Mid Caps I D Currency CHF Date 02.02.2023 NAV 873.28 Perf.YTD 10.08%
    Share Class LO Funds (CH) - Swiss Small & Mid Caps M D Currency CHF Date 02.02.2023 NAV 862.94 Perf.YTD 10.08%
    Share Class LO Funds (CH) - Swiss Small & Mid Caps P D Currency CHF Date 02.02.2023 NAV 840.72 Perf.YTD 10.01%
    Share Class LO Funds (CH) - Swiss Small & Mid Caps S D Currency CHF Date 02.02.2023 NAV 903.50 Perf.YTD 10.12%
    Share Class LO Funds (CH) - Swiss Small & Mid Caps Z D Currency CHF Date 02.02.2023 NAV 885.42 Perf.YTD 10.17%
    Funds LO Funds (CH) - Ultra Low Duration (CHF) 5 Strategy Cash Strategies Asset Class Fixed Income Category Ultra Low Duration Share Classes 5
    Share Class Currency Date NAV Perf.YTD
    Share Class LO Funds (CH) - Ultra Low Duration (CHF) I D Currency CHF Date 02.02.2023 NAV 90.16 Perf.YTD 0.40%
    Share Class LO Funds (CH) - Ultra Low Duration (CHF) M D Currency CHF Date 02.02.2023 NAV 90.23 Perf.YTD 0.39%
    Share Class LO Funds (CH) - Ultra Low Duration (CHF) P D Currency CHF Date 02.02.2023 NAV 90.13 Perf.YTD 0.39%
    Share Class LO Funds (CH) - Ultra Low Duration (CHF) S D Currency CHF Date 02.02.2023 NAV 91.42 Perf.YTD 0.40%
    Share Class LO Funds (CH) - Ultra Low Duration (CHF) U D Currency CHF Date 02.02.2023 NAV 92.02 Perf.YTD 0.40%
    Funds LO Funds - All Roads 37 Strategy Risk-Based Asset Class Multi-Asset Category Balanced Profile Share Classes 37
    Share Class Currency Date NAV Perf.YTD
    Share Class LO Funds - All Roads, Syst. NAV Hdg, (CHF) I A Currency CHF Date 02.02.2023 NAV 21.41 Perf.YTD 3.45%
    Share Class LO Funds - All Roads, Syst. NAV Hdg, (CHF) M A Currency CHF Date 02.02.2023 NAV 20.63 Perf.YTD 3.43%
    Share Class LO Funds - All Roads, Syst. NAV Hdg, (CHF) M D Currency CHF Date 02.02.2023 NAV 17.53 Perf.YTD 3.43%
    Share Class LO Funds - All Roads, Syst. NAV Hdg, (CHF) N A Currency CHF Date 02.02.2023 NAV 21.36 Perf.YTD 3.45%
    Share Class LO Funds - All Roads, Syst. NAV Hdg, (CHF) P A Currency CHF Date 02.02.2023 NAV 19.72 Perf.YTD 3.39%
    Share Class LO Funds - All Roads, Syst. NAV Hdg, (CHF) P D Currency CHF Date 02.02.2023 NAV 17.25 Perf.YTD 3.39%
    Share Class LO Funds - All Roads, Syst. NAV Hdg, (CHF) S A Currency CHF Date 02.02.2023 NAV 22.60 Perf.YTD 3.50%
    Share Class LO Funds - All Roads, Syst. NAV Hdg, X1, (CHF) M A Currency CHF Date 02.02.2023 NAV 20.73 Perf.YTD 3.46%
    Share Class LO Funds - All Roads, (EUR) I A Currency EUR Date 02.02.2023 NAV 14.11 Perf.YTD 3.58%
    Share Class LO Funds - All Roads, (EUR) I D Currency EUR Date 02.02.2023 NAV 13.90 Perf.YTD 3.58%
    Share Class LO Funds - All Roads, (EUR) M A Currency EUR Date 02.02.2023 NAV 13.80 Perf.YTD 3.57%
    Share Class LO Funds - All Roads, (EUR) M D Currency EUR Date 02.02.2023 NAV 13.45 Perf.YTD 3.57%
    Share Class LO Funds - All Roads, (EUR) N A Currency EUR Date 02.02.2023 NAV 14.07 Perf.YTD 3.58%
    Share Class LO Funds - All Roads, (EUR) N D Currency EUR Date 02.02.2023 NAV 13.23 Perf.YTD 3.58%
    Share Class LO Funds - All Roads, (EUR) P A Currency EUR Date 02.02.2023 NAV 13.18 Perf.YTD 3.53%
    Share Class LO Funds - All Roads, (EUR) P D Currency EUR Date 02.02.2023 NAV 13.18 Perf.YTD 3.53%
    Share Class LO Funds - All Roads, (EUR) P D1 Currency EUR Date 02.02.2023 NAV 11.53 Perf.YTD 3.53%
    Share Class LO Funds - All Roads, (EUR) R A Currency EUR Date 02.02.2023 NAV 11.85 Perf.YTD 3.43%
    Share Class LO Funds - All Roads, (EUR) R D1 Currency EUR Date 02.02.2023 NAV 10.97 Perf.YTD 3.43%
    Share Class LO Funds - All Roads, X1, (EUR) I D Currency EUR Date 02.02.2023 NAV 13.92 Perf.YTD 3.59%
    Share Class LO Funds - All Roads, X1, (EUR) M A Currency EUR Date 02.02.2023 NAV 13.93 Perf.YTD 3.59%
    Share Class LO Funds - All Roads, X1, (EUR) M D Currency EUR Date 02.02.2023 NAV 13.62 Perf.YTD 3.59%
    Share Class LO Funds - All Roads, Syst. NAV Hdg, (GBP) M A Currency GBP Date 02.02.2023 NAV 14.77 Perf.YTD 3.73%
    Share Class LO Funds - All Roads, Syst. NAV Hdg, (GBP) N A Currency GBP Date 02.02.2023 NAV 15.08 Perf.YTD 3.74%
    Share Class LO Funds - All Roads, Syst. NAV Hdg, (GBP) N D Currency GBP Date 02.02.2023 NAV 15.00 Perf.YTD 3.74%
    Share Class LO Funds - All Roads, Syst. NAV Hdg, (GBP) P A Currency GBP Date 02.02.2023 NAV 14.27 Perf.YTD 3.69%
    Share Class LO Funds - All Roads, Syst. NAV Hdg, X1, (GBP) I A Currency GBP Date 02.02.2023 NAV 10.58 Perf.YTD 3.79%
    Share Class LO Funds - All Roads, Syst. NAV Hdg, X1, (GBP) M A Currency GBP Date 02.02.2023 NAV 14.90 Perf.YTD 3.76%
    Share Class LO Funds - All Roads, Syst. NAV Hdg, X1, (JPY) I A Currency JPY Date 02.02.2023 NAV 10908.00 Perf.YTD 3.36%
    Share Class LO Funds - All Roads, Syst. NAV Hdg, (USD) I A Currency USD Date 02.02.2023 NAV 15.77 Perf.YTD 3.87%
    Share Class LO Funds - All Roads, Syst. NAV Hdg, (USD) M A Currency USD Date 02.02.2023 NAV 15.58 Perf.YTD 3.85%
    Share Class LO Funds - All Roads, Syst. NAV Hdg, (USD) M D Currency USD Date 02.02.2023 NAV 15.49 Perf.YTD 3.85%
    Share Class LO Funds - All Roads, Syst. NAV Hdg, (USD) N A Currency USD Date 02.02.2023 NAV 15.76 Perf.YTD 3.87%
    Share Class LO Funds - All Roads, Syst. NAV Hdg, (USD) N D Currency USD Date 02.02.2023 NAV 15.76 Perf.YTD 3.87%
    Share Class LO Funds - All Roads, Syst. NAV Hdg, (USD) P A Currency USD Date 02.02.2023 NAV 14.89 Perf.YTD 3.81%
    Share Class LO Funds - All Roads, Syst. NAV Hdg, X1, (USD) M A Currency USD Date 02.02.2023 NAV 15.67 Perf.YTD 3.88%
    Share Class LO Funds - All Roads, Syst. NAV Hdg, X1, (USD) M D Currency USD Date 02.02.2023 NAV 15.62 Perf.YTD 3.88%
    Funds LO Funds - All Roads Conservative 24 Strategy Risk-Based Asset Class Multi-Asset Category Conservative Profile Share Classes 24
    Share Class Currency Date NAV Perf.YTD
    Share Class LO Funds - All Roads Conservative, Syst. NAV Hdg, (CHF) I A Currency CHF Date 02.02.2023 NAV 10.37 Perf.YTD 1.72%
    Share Class LO Funds - All Roads Conservative, Syst. NAV Hdg, (CHF) M A Currency CHF Date 02.02.2023 NAV 10.28 Perf.YTD 1.71%
    Share Class LO Funds - All Roads Conservative, Syst. NAV Hdg, (CHF) N A Currency CHF Date 02.02.2023 NAV 10.35 Perf.YTD 1.72%
    Share Class LO Funds - All Roads Conservative, Syst. NAV Hdg, (CHF) P A Currency CHF Date 02.02.2023 NAV 10.14 Perf.YTD 1.68%
    Share Class LO Funds - All Roads Conservative, Syst. NAV Hdg, (CHF) S A Currency CHF Date 02.02.2023 NAV 10.64 Perf.YTD 1.76%
    Share Class LO Funds - All Roads Conservative, (EUR) I A Currency EUR Date 02.02.2023 NAV 10.57 Perf.YTD 1.85%
    Share Class LO Funds - All Roads Conservative, (EUR) M A Currency EUR Date 02.02.2023 NAV 10.45 Perf.YTD 1.84%
    Share Class LO Funds - All Roads Conservative, (EUR) M D Currency EUR Date 02.02.2023 NAV 10.45 Perf.YTD 1.84%
    Share Class LO Funds - All Roads Conservative, (EUR) N A Currency EUR Date 02.02.2023 NAV 10.55 Perf.YTD 1.85%
    Share Class LO Funds - All Roads Conservative, (EUR) N D Currency EUR Date 02.02.2023 NAV 10.55 Perf.YTD 1.85%
    Share Class LO Funds - All Roads Conservative, (EUR) P A Currency EUR Date 02.02.2023 NAV 10.28 Perf.YTD 1.81%
    Share Class LO Funds - All Roads Conservative, (EUR) P D Currency EUR Date 02.02.2023 NAV 10.28 Perf.YTD 1.81%
    Share Class LO Funds - All Roads Conservative, (EUR) P D1 Currency EUR Date 02.02.2023 NAV 9.78 Perf.YTD 1.82%
    Share Class LO Funds - All Roads Conservative, (EUR) R A Currency EUR Date 02.02.2023 NAV 10.01 Perf.YTD 1.75%
    Share Class LO Funds - All Roads Conservative, (EUR) S A Currency EUR Date 02.02.2023 NAV 10.76 Perf.YTD 1.89%
    Share Class LO Funds - All Roads Conservative, X1, (EUR) M A Currency EUR Date 02.02.2023 NAV 10.48 Perf.YTD 1.85%
    Share Class LO Funds - All Roads Conservative, X1, (EUR) M D Currency EUR Date 02.02.2023 NAV 10.48 Perf.YTD 1.85%
    Share Class LO Funds - All Roads Conservative, Syst. NAV Hdg, (GBP) N D Currency GBP Date 02.02.2023 NAV 10.80 Perf.YTD 2.00%
    Share Class LO Funds - All Roads Conservative, Syst. NAV Hdg, (USD) M A Currency USD Date 02.02.2023 NAV 11.66 Perf.YTD 2.11%
    Share Class LO Funds - All Roads Conservative, Syst. NAV Hdg, (USD) M D Currency USD Date 02.02.2023 NAV 11.66 Perf.YTD 2.11%
    Share Class LO Funds - All Roads Conservative, Syst. NAV Hdg, (USD) N A Currency USD Date 02.02.2023 NAV 11.72 Perf.YTD 2.12%
    Share Class LO Funds - All Roads Conservative, Syst. NAV Hdg, (USD) N D Currency USD Date 02.02.2023 NAV 11.72 Perf.YTD 2.12%
    Share Class LO Funds - All Roads Conservative, Syst. NAV Hdg, (USD) P A Currency USD Date 02.02.2023 NAV 11.51 Perf.YTD 2.08%
    Share Class LO Funds - All Roads Conservative, Syst. NAV Hdg, X1, (USD) M D Currency USD Date 02.02.2023 NAV 11.72 Perf.YTD 2.12%
    Funds LO Funds - All Roads Growth 21 Strategy Risk-Based Asset Class Multi-Asset Category Growth Profile Share Classes 21
    Share Class Currency Date NAV Perf.YTD
    Share Class LO Funds - All Roads Growth, Syst. NAV Hdg, (CHF) I A Currency CHF Date 02.02.2023 NAV 12.66 Perf.YTD 6.00%
    Share Class LO Funds - All Roads Growth, Syst. NAV Hdg, (CHF) M A Currency CHF Date 02.02.2023 NAV 12.51 Perf.YTD 5.98%
    Share Class LO Funds - All Roads Growth, Syst. NAV Hdg, (CHF) N A Currency CHF Date 02.02.2023 NAV 12.63 Perf.YTD 6.00%
    Share Class LO Funds - All Roads Growth, Syst. NAV Hdg, (CHF) P A Currency CHF Date 02.02.2023 NAV 12.07 Perf.YTD 5.92%
    Share Class LO Funds - All Roads Growth, Syst. NAV Hdg, (CHF) S A Currency CHF Date 02.02.2023 NAV 11.57 Perf.YTD 6.08%
    Share Class LO Funds - All Roads Growth, (EUR) I A Currency EUR Date 02.02.2023 NAV 13.02 Perf.YTD 6.14%
    Share Class LO Funds - All Roads Growth, (EUR) M A Currency EUR Date 02.02.2023 NAV 12.87 Perf.YTD 6.12%
    Share Class LO Funds - All Roads Growth, (EUR) M D Currency EUR Date 02.02.2023 NAV 11.82 Perf.YTD 6.12%
    Share Class LO Funds - All Roads Growth, (EUR) N A Currency EUR Date 02.02.2023 NAV 13.00 Perf.YTD 6.14%
    Share Class LO Funds - All Roads Growth, (EUR) N D Currency EUR Date 02.02.2023 NAV 12.86 Perf.YTD 6.14%
    Share Class LO Funds - All Roads Growth, (EUR) P A Currency EUR Date 02.02.2023 NAV 12.37 Perf.YTD 6.06%
    Share Class LO Funds - All Roads Growth, (EUR) S A Currency EUR Date 02.02.2023 NAV 13.70 Perf.YTD 6.22%
    Share Class LO Funds - All Roads Growth, X1, (EUR) M A Currency EUR Date 02.02.2023 NAV 13.05 Perf.YTD 6.17%
    Share Class LO Funds - All Roads Growth, X1, (EUR) M D Currency EUR Date 02.02.2023 NAV 11.98 Perf.YTD 6.18%
    Share Class LO Funds - All Roads Growth, Syst. NAV Hdg, (USD) I A Currency USD Date 02.02.2023 NAV 13.45 Perf.YTD 6.45%
    Share Class LO Funds - All Roads Growth, Syst. NAV Hdg, (USD) M A Currency USD Date 02.02.2023 NAV 13.36 Perf.YTD 6.43%
    Share Class LO Funds - All Roads Growth, Syst. NAV Hdg, (USD) M D Currency USD Date 02.02.2023 NAV 13.18 Perf.YTD 6.43%
    Share Class LO Funds - All Roads Growth, Syst. NAV Hdg, (USD) N A Currency USD Date 02.02.2023 NAV 13.28 Perf.YTD 6.45%
    Share Class LO Funds - All Roads Growth, Syst. NAV Hdg, (USD) N D Currency USD Date 02.02.2023 NAV 13.21 Perf.YTD 6.44%
    Share Class LO Funds - All Roads Growth, Syst. NAV Hdg, (USD) P A Currency USD Date 02.02.2023 NAV 13.15 Perf.YTD 6.37%
    Share Class LO Funds - All Roads Growth, Syst. NAV Hdg, X1, (USD) M A Currency USD Date 02.02.2023 NAV 13.51 Perf.YTD 6.48%
    Funds LO Funds - Asia Diversified High Yield Bond 13 Strategy - Asset Class Fixed Income Category - Share Classes 13
    Share Class Currency Date NAV Perf.YTD
    Share Class LO Funds - Asia Diversified High Yield Bond, Syst. NAV Hdg, Seed, (CHF) M A Currency CHF Date 02.02.2023 NAV 10.00 Perf.YTD 2.26%
    Share Class LO Funds - Asia Diversified High Yield Bond, Syst. NAV Hdg, Seed, (CHF) N A Currency CHF Date 02.02.2023 NAV 10.01 Perf.YTD 2.27%
    Share Class LO Funds - Asia Diversified High Yield Bond, Syst. NAV Hdg, Seed, (EUR) M D Currency EUR Date 02.02.2023 NAV 10.11 Perf.YTD 2.38%
    Share Class LO Funds - Asia Diversified High Yield Bond, Syst. NAV Hdg, Seed, (EUR) N A Currency EUR Date 02.02.2023 NAV 10.16 Perf.YTD 2.40%
    Share Class LO Funds - Asia Diversified High Yield Bond, Syst. NAV Hdg, Seed, (EUR) P D Currency EUR Date 02.02.2023 NAV 10.01 Perf.YTD 2.32%
    Share Class LO Funds - Asia Diversified High Yield Bond, Seed, (USD) I A Currency USD Date 02.02.2023 NAV 10.19 Perf.YTD 2.66%
    Share Class LO Funds - Asia Diversified High Yield Bond, Seed, (USD) I D Currency USD Date 02.02.2023 NAV 10.02 Perf.YTD 2.66%
    Share Class LO Funds - Asia Diversified High Yield Bond, Seed, (USD) M A Currency USD Date 02.02.2023 NAV 10.19 Perf.YTD 2.65%
    Share Class LO Funds - Asia Diversified High Yield Bond, Seed, (USD) M D Currency USD Date 02.02.2023 NAV 10.01 Perf.YTD 2.65%
    Share Class LO Funds - Asia Diversified High Yield Bond, Seed, (USD) N A Currency USD Date 02.02.2023 NAV 10.19 Perf.YTD 2.66%
    Share Class LO Funds - Asia Diversified High Yield Bond, Seed, (USD) N D Currency USD Date 02.02.2023 NAV 10.02 Perf.YTD 2.66%
    Share Class LO Funds - Asia Diversified High Yield Bond, Seed, (USD) P A Currency USD Date 02.02.2023 NAV 10.16 Perf.YTD 2.59%
    Share Class LO Funds - Asia Diversified High Yield Bond, Seed, (USD) P D Currency USD Date 02.02.2023 NAV 10.00 Perf.YTD 2.59%
    Funds LO Funds - Asia High Conviction 23 Strategy High Conviction Asset Class Equities Category Emerging markets Share Classes 23
    Share Class Currency Date NAV Perf.YTD
    Share Class LO Funds - Asia High Conviction, Syst. NAV Hdg, (CHF) M A Currency CHF Date 02.02.2023 NAV 13.36 Perf.YTD 10.60%
    Share Class LO Funds - Asia High Conviction, Syst. NAV Hdg, (CHF) N A Currency CHF Date 02.02.2023 NAV 13.52 Perf.YTD 10.62%
    Share Class LO Funds - Asia High Conviction, Syst. NAV Hdg, (CHF) P A Currency CHF Date 02.02.2023 NAV 12.81 Perf.YTD 10.53%
    Share Class LO Funds - Asia High Conviction, Syst. NAV Hdg, X1, (CHF) M A Currency CHF Date 02.02.2023 NAV 13.55 Perf.YTD 10.65%
    Share Class LO Funds - Asia High Conviction, Syst. NAV Hdg, (EUR) M A Currency EUR Date 02.02.2023 NAV 13.65 Perf.YTD 10.72%
    Share Class LO Funds - Asia High Conviction, Syst. NAV Hdg, (EUR) M D Currency EUR Date 02.02.2023 NAV 13.51 Perf.YTD 10.72%
    Share Class LO Funds - Asia High Conviction, Syst. NAV Hdg, (EUR) N A Currency EUR Date 02.02.2023 NAV 13.77 Perf.YTD 10.74%
    Share Class LO Funds - Asia High Conviction, Syst. NAV Hdg, (EUR) P A Currency EUR Date 02.02.2023 NAV 13.09 Perf.YTD 10.65%
    Share Class LO Funds - Asia High Conviction, Syst. NAV Hdg, (EUR) P D Currency EUR Date 02.02.2023 NAV 13.09 Perf.YTD 10.65%
    Share Class LO Funds - Asia High Conviction, Syst. NAV Hdg, X1, (EUR) M A Currency EUR Date 02.02.2023 NAV 13.84 Perf.YTD 10.77%
    Share Class LO Funds - Asia High Conviction, X1, (EUR) I A Currency EUR Date 02.02.2023 NAV 8.76 Perf.YTD 8.35%
    Share Class LO Funds - Asia High Conviction, Syst. NAV Hdg, (GBP) M A Currency GBP Date 02.02.2023 NAV 10.63 Perf.YTD 10.89%
    Share Class LO Funds - Asia High Conviction, Syst. NAV Hdg, (GBP) N A Currency GBP Date 02.02.2023 NAV 10.65 Perf.YTD 10.90%
    Share Class LO Funds - Asia High Conviction, Syst. NAV Hdg, (JPY) N A Currency JPY Date 02.02.2023 NAV 10007.00 Perf.YTD 10.59%
    Share Class LO Funds - Asia High Conviction, (USD) I A Currency USD Date 02.02.2023 NAV 185.59 Perf.YTD 11.04%
    Share Class LO Funds - Asia High Conviction, (USD) M A Currency USD Date 02.02.2023 NAV 181.91 Perf.YTD 11.02%
    Share Class LO Funds - Asia High Conviction, (USD) M D Currency USD Date 02.02.2023 NAV 177.75 Perf.YTD 11.02%
    Share Class LO Funds - Asia High Conviction, (USD) N A Currency USD Date 02.02.2023 NAV 185.28 Perf.YTD 11.04%
    Share Class LO Funds - Asia High Conviction, (USD) N D Currency USD Date 02.02.2023 NAV 179.74 Perf.YTD 11.04%
    Share Class LO Funds - Asia High Conviction, (USD) P A Currency USD Date 02.02.2023 NAV 171.37 Perf.YTD 10.94%
    Share Class LO Funds - Asia High Conviction, (USD) S A Currency USD Date 02.02.2023 NAV 187.41 Perf.YTD 11.13%
    Share Class LO Funds - Asia High Conviction, X1, (USD) M A Currency USD Date 02.02.2023 NAV 184.83 Perf.YTD 11.06%
    Share Class LO Funds - Asia High Conviction, X1, (USD) M D Currency USD Date 02.02.2023 NAV 179.14 Perf.YTD 11.06%
    Funds LO Funds - Asia Income 2024 25 Strategy Buy and Maintain Asset Class Fixed Income Category Credit Share Classes 25
    Share Class Currency Date NAV Perf.YTD
    Share Class LO Funds - Asia Income 2024, Syst. NAV Hdg, (CHF) I A Currency CHF Date 02.02.2023 NAV 8.36 Perf.YTD 2.42%
    Share Class LO Funds - Asia Income 2024, Syst. NAV Hdg, (CHF) I D Currency CHF Date 02.02.2023 NAV 7.14 Perf.YTD 2.42%
    Share Class LO Funds - Asia Income 2024, Syst. NAV Hdg, (CHF) M A Currency CHF Date 02.02.2023 NAV 8.32 Perf.YTD 2.41%
    Share Class LO Funds - Asia Income 2024, Syst. NAV Hdg, (CHF) M D Currency CHF Date 02.02.2023 NAV 7.16 Perf.YTD 2.41%
    Share Class LO Funds - Asia Income 2024, Syst. NAV Hdg, (CHF) N D Currency CHF Date 02.02.2023 NAV 7.15 Perf.YTD 2.42%
    Share Class LO Funds - Asia Income 2024, Syst. NAV Hdg, (CHF) P A Currency CHF Date 02.02.2023 NAV 8.28 Perf.YTD 2.39%
    Share Class LO Funds - Asia Income 2024, Syst. NAV Hdg, X1, (CHF) M A Currency CHF Date 02.02.2023 NAV 8.32 Perf.YTD 2.41%
    Share Class LO Funds - Asia Income 2024, Syst. NAV Hdg, (EUR) M A Currency EUR Date 02.02.2023 NAV 8.41 Perf.YTD 2.52%
    Share Class LO Funds - Asia Income 2024, Syst. NAV Hdg, (EUR) M D Currency EUR Date 02.02.2023 NAV 7.23 Perf.YTD 2.52%
    Share Class LO Funds - Asia Income 2024, Syst. NAV Hdg, (EUR) N A Currency EUR Date 02.02.2023 NAV 8.44 Perf.YTD 2.53%
    Share Class LO Funds - Asia Income 2024, Syst. NAV Hdg, (EUR) N D Currency EUR Date 02.02.2023 NAV 7.70 Perf.YTD 2.53%
    Share Class LO Funds - Asia Income 2024, Syst. NAV Hdg, (EUR) P A Currency EUR Date 02.02.2023 NAV 8.34 Perf.YTD 2.49%
    Share Class LO Funds - Asia Income 2024, Syst. NAV Hdg, (EUR) P D Currency EUR Date 02.02.2023 NAV 7.22 Perf.YTD 2.50%
    Share Class LO Funds - Asia Income 2024, Syst. NAV Hdg, X1, (EUR) M A Currency EUR Date 02.02.2023 NAV 8.41 Perf.YTD 2.52%
    Share Class LO Funds - Asia Income 2024, Syst. NAV Hdg, (GBP) M D Currency GBP Date 02.02.2023 NAV 7.43 Perf.YTD 2.68%
    Share Class LO Funds - Asia Income 2024, Syst. NAV Hdg, (GBP) N A Currency GBP Date 02.02.2023 NAV 8.69 Perf.YTD 2.69%
    Share Class LO Funds - Asia Income 2024, Syst. NAV Hdg, (JPY) N A Currency JPY Date 02.02.2023 NAV 8476.00 Perf.YTD 2.35%
    Share Class LO Funds - Asia Income 2024, (USD) I D Currency USD Date 02.02.2023 NAV 7.62 Perf.YTD 2.82%
    Share Class LO Funds - Asia Income 2024, (USD) M A Currency USD Date 02.02.2023 NAV 8.86 Perf.YTD 2.81%
    Share Class LO Funds - Asia Income 2024, (USD) M D Currency USD Date 02.02.2023 NAV 7.63 Perf.YTD 2.81%
    Share Class LO Funds - Asia Income 2024, (USD) N A Currency USD Date 02.02.2023 NAV 8.89 Perf.YTD 2.82%
    Share Class LO Funds - Asia Income 2024, (USD) N D Currency USD Date 02.02.2023 NAV 7.63 Perf.YTD 2.82%
    Share Class LO Funds - Asia Income 2024, (USD) P A Currency USD Date 02.02.2023 NAV 8.79 Perf.YTD 2.78%
    Share Class LO Funds - Asia Income 2024, (USD) P D Currency USD Date 02.02.2023 NAV 7.62 Perf.YTD 2.78%
    Share Class LO Funds - Asia Income 2024, X1, (USD) M A Currency USD Date 02.02.2023 NAV 8.88 Perf.YTD 2.81%
    1 2 3 4...9Next

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