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    Will Donald Trump's fiscal plan work?

    May 8, 2025
    On paper, Donald Trump’s fiscal strategy could work. In reality, uncertainties about the payoff from tariffs and spending cuts persist. Will his gamble succeed?
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    Will Donald Trump's fiscal plan work?

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    America first to safety first – finding opportunity and shelter in fixed income

    May 7, 2025
    As Donald Trump seeks to rewrite the macro world order, striking the right balance between defensive and opportunistic portfolio positioning is key. 
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    America first to safety first – finding opportunity and shelter in fixed income

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    Dialling up portfolio diversification when uncertainty prevails

    May 1, 2025
    Uncertainty heightens the need for diversification. Historically, a risk-based solution has shown stronger diversification than a 50/50 approach. 
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    Showing 1783 of 1783 total share classes

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    Funds Asset Class Category Strategy
    FundsLO Perspective - Mont Ventoux1Asset ClassFixed IncomeCategory-StrategyAsset Allocation
    Share Class Currency Date NAV
    Share ClassLO Perspective - Mont Ventoux A CurrencyEURDate30.04.2025NAV1185.91
    FundsLO Perspective - Noise1Asset ClassMulti-AssetCategoryBalanced ProfileStrategyAsset Allocation
    Share Class Currency Date NAV
    Share ClassLO Perspective - Noise P A CurrencyEURDate30.04.2025NAV1375.44
    FundsLO Perspective - Obregon1Asset ClassMulti-AssetCategoryBalanced ProfileStrategyAsset Allocation
    Share Class Currency Date NAV
    Share ClassLO Perspective - Obregon P A CurrencyEURDate30.04.2025NAV1455.26
    FundsLO Perspective - Onís1Asset ClassMulti-AssetCategoryBalanced ProfileStrategyAsset Allocation
    Share Class Currency Date NAV
    Share ClassLO Perspective - Onís P A CurrencyEURDate30.04.2025NAV1557.36
    FundsLO Perspective - Seehof1Asset ClassMulti-AssetCategoryBalanced ProfileStrategyAsset Allocation
    Share Class Currency Date NAV
    Share ClassLO Perspective - Seehof P A CurrencyEURDate30.04.2025NAV1504.97
    FundsLO Perspective - Sierra Nevada1Asset ClassMulti-AssetCategory-Strategy-
    Share Class Currency Date NAV
    Share ClassLO Perspective - Sierra Nevada P A CurrencyEURDate30.04.2025NAV977.37
    FundsLO Perspective - Tourmalet1Asset ClassMulti-AssetCategoryBalanced ProfileStrategyAsset Allocation
    Share Class Currency Date NAV
    Share ClassLO Perspective - Tourmalet A CurrencyEURDate30.04.2025NAV1291.56
    FundsLO Perspective - Troncones Investments1Asset ClassMulti-AssetCategoryBalanced ProfileStrategyAsset Allocation
    Share Class Currency Date NAV
    Share ClassLO Perspective - Troncones Investments P A CurrencyEURDate30.04.2025NAV1238.31
    FundsLO Perspective - Wetblue1Asset ClassMulti-AssetCategoryBalanced ProfileStrategyAsset Allocation
    Share Class Currency Date NAV
    Share ClassLO Perspective - Wetblue P A CurrencyEURDate30.04.2025NAV1810.54
    FundsLO Selection - Antara1Asset ClassMulti-AssetCategoryBalanced ProfileStrategyAsset Allocation
    Share Class Currency Date NAV
    Share ClassLO Selection - Antara P A CurrencyEURDate02.05.2025NAV1397.03
    FundsLO Selection - Casta1Asset ClassMulti-AssetCategoryBalanced ProfileStrategyAsset Allocation
    Share Class Currency Date NAV
    Share ClassLO Selection - Casta P D CurrencyEURDate02.05.2025NAV1614.37
    FundsLO Selection - Eurozone7Asset ClassEquitiesCategoryEuropeStrategyActive Strategy
    Share Class Currency Date NAV
    Share ClassLO Selection - Eurozone, (EUR) I A CurrencyEURDate06.05.2025NAV119.38
    Share ClassLO Selection - Eurozone, (EUR) M A CurrencyEURDate06.05.2025NAV119.16
    Share ClassLO Selection - Eurozone, (EUR) M D CurrencyEURDate06.05.2025NAV116.11
    Share ClassLO Selection - Eurozone, (EUR) N A CurrencyEURDate06.05.2025NAV119.27
    Share ClassLO Selection - Eurozone, (EUR) P A CurrencyEURDate06.05.2025NAV118.68
    Share ClassLO Selection - Eurozone, X1, (EUR) M A CurrencyEURDate06.05.2025NAV119.38
    Share ClassLO Selection - Eurozone, X1, (EUR) M D CurrencyEURDate06.05.2025NAV116.19
    FundsLO Selection - Kapalea1Asset ClassMulti-AssetCategoryBalanced ProfileStrategyAsset Allocation
    Share Class Currency Date NAV
    Share ClassLO Selection - Kapalea P A CurrencyEURDate02.05.2025NAV1238.68
    FundsLO Selection - TargetNetZero (CHF) Credit Bond8Asset ClassFixed IncomeCategoryCreditStrategySustainable Fixed Income
    Share Class Currency Date NAV
    Share ClassLO Selection - TargetNetZero (CHF) Credit Bond I A CurrencyCHFDate06.05.2025NAV122.85
    Share ClassLO Selection - TargetNetZero (CHF) Credit Bond M A CurrencyCHFDate06.05.2025NAV120.28
    Share ClassLO Selection - TargetNetZero (CHF) Credit Bond M D CurrencyCHFDate06.05.2025NAV111.22
    Share ClassLO Selection - TargetNetZero (CHF) Credit Bond N A CurrencyCHFDate06.05.2025NAV121.95
    Share ClassLO Selection - TargetNetZero (CHF) Credit Bond N D CurrencyCHFDate06.05.2025NAV118.12
    Share ClassLO Selection - TargetNetZero (CHF) Credit Bond P A CurrencyCHFDate06.05.2025NAV113.53
    Share ClassLO Selection - TargetNetZero (CHF) Credit Bond, X1 M A CurrencyCHFDate06.05.2025NAV122.21
    Share ClassLO Selection - TargetNetZero (CHF) Credit Bond, X1 M D CurrencyCHFDate06.05.2025NAV120.70
    FundsLO Selection - TargetNetZero (EUR) Credit Bond7Asset ClassFixed IncomeCategoryCreditStrategySustainable Fixed Income
    Share Class Currency Date NAV
    Share ClassLO Selection - TargetNetZero (EUR) Credit Bond M A CurrencyEURDate06.05.2025NAV140.42
    Share ClassLO Selection - TargetNetZero (EUR) Credit Bond M D CurrencyEURDate06.05.2025NAV119.20
    Share ClassLO Selection - TargetNetZero (EUR) Credit Bond N A CurrencyEURDate06.05.2025NAV142.39
    Share ClassLO Selection - TargetNetZero (EUR) Credit Bond N D CurrencyEURDate06.05.2025NAV130.15
    Share ClassLO Selection - TargetNetZero (EUR) Credit Bond P A CurrencyEURDate06.05.2025NAV131.22
    Share ClassLO Selection - TargetNetZero (EUR) Credit Bond, X1 M A CurrencyEURDate06.05.2025NAV143.46
    Share ClassLO Selection - TargetNetZero (EUR) Credit Bond, X1 M D CurrencyEURDate06.05.2025NAV121.76
    FundsLO Selection - TargetNetZero (USD) Credit Bond8Asset ClassFixed IncomeCategoryCreditStrategySustainable Fixed Income
    Share Class Currency Date NAV
    Share ClassLO Selection - TargetNetZero (USD) Credit Bond I A CurrencyUSDDate06.05.2025NAV131.40
    Share ClassLO Selection - TargetNetZero (USD) Credit Bond M A CurrencyUSDDate06.05.2025NAV128.54
    Share ClassLO Selection - TargetNetZero (USD) Credit Bond M D CurrencyUSDDate06.05.2025NAV99.76
    Share ClassLO Selection - TargetNetZero (USD) Credit Bond N A CurrencyUSDDate06.05.2025NAV130.35
    Share ClassLO Selection - TargetNetZero (USD) Credit Bond P A CurrencyUSDDate06.05.2025NAV120.75
    Share ClassLO Selection - TargetNetZero (USD) Credit Bond P D CurrencyUSDDate06.05.2025NAV101.59
    Share ClassLO Selection - TargetNetZero (USD) Credit Bond, X1 M A CurrencyUSDDate06.05.2025NAV131.36
    Share ClassLO Selection - TargetNetZero (USD) Credit Bond, X1 M D CurrencyUSDDate06.05.2025NAV100.71
    FundsLO Selection - The Balanced (CHF)7Asset ClassMulti-AssetCategoryBalanced ProfileStrategyAsset Allocation
    Share Class Currency Date NAV
    Share ClassLO Selection - The Balanced (CHF) EM A CurrencyCHFDate06.05.2025NAV126.62
    Share ClassLO Selection - The Balanced (CHF) EM D CurrencyCHFDate06.05.2025NAV107.26
    Share ClassLO Selection - The Balanced (CHF) M A CurrencyCHFDate06.05.2025NAV124.71
    Share ClassLO Selection - The Balanced (CHF) M D CurrencyCHFDate06.05.2025NAV124.58
    Share ClassLO Selection - The Balanced (CHF) N A CurrencyCHFDate06.05.2025NAV128.89
    Share ClassLO Selection - The Balanced (CHF) N D CurrencyCHFDate06.05.2025NAV128.89
    Share ClassLO Selection - The Balanced (CHF) P A CurrencyCHFDate06.05.2025NAV119.86
    FundsLO Selection - The Balanced (EUR)9Asset ClassMulti-AssetCategoryBalanced ProfileStrategyAsset Allocation
    Share Class Currency Date NAV
    Share ClassLO Selection - The Balanced (EUR) EM A CurrencyEURDate06.05.2025NAV169.56
    Share ClassLO Selection - The Balanced (EUR) I A CurrencyEURDate06.05.2025NAV166.05
    Share ClassLO Selection - The Balanced (EUR) M A CurrencyEURDate06.05.2025NAV157.96
    Share ClassLO Selection - The Balanced (EUR) M D CurrencyEURDate06.05.2025NAV157.87
    Share ClassLO Selection - The Balanced (EUR) N A CurrencyEURDate06.05.2025NAV163.24
    Share ClassLO Selection - The Balanced (EUR) N D CurrencyEURDate06.05.2025NAV163.24
    Share ClassLO Selection - The Balanced (EUR) P A CurrencyEURDate06.05.2025NAV151.77
    Share ClassLO Selection - The Balanced (EUR) P D CurrencyEURDate06.05.2025NAV151.77
    Share ClassLO Selection - The Balanced (EUR) U A CurrencyEURDate06.05.2025NAV169.44
    FundsLO Selection - The Balanced (USD)7Asset ClassMulti-AssetCategoryBalanced ProfileStrategyAsset Allocation
    Share Class Currency Date NAV
    Share ClassLO Selection - The Balanced (USD) I A CurrencyUSDDate06.05.2025NAV150.75
    Share ClassLO Selection - The Balanced (USD) M A CurrencyUSDDate06.05.2025NAV146.84
    Share ClassLO Selection - The Balanced (USD) M D CurrencyUSDDate06.05.2025NAV146.71
    Share ClassLO Selection - The Balanced (USD) N A CurrencyUSDDate06.05.2025NAV149.31
    Share ClassLO Selection - The Balanced (USD) N D CurrencyUSDDate06.05.2025NAV148.93
    Share ClassLO Selection - The Balanced (USD) P A CurrencyUSDDate06.05.2025NAV141.10
    Share ClassLO Selection - The Balanced (USD) U A CurrencyUSDDate06.05.2025NAV150.78
    FundsLO Selection - The Conservative (CHF)6Asset ClassMulti-AssetCategoryConservative ProfileStrategyAsset Allocation
    Share Class Currency Date NAV
    Share ClassLO Selection - The Conservative (CHF) EM A CurrencyCHFDate06.05.2025NAV103.62
    Share ClassLO Selection - The Conservative (CHF) I A CurrencyCHFDate06.05.2025NAV107.72
    Share ClassLO Selection - The Conservative (CHF) M A CurrencyCHFDate06.05.2025NAV104.30
    Share ClassLO Selection - The Conservative (CHF) M D CurrencyCHFDate06.05.2025NAV104.39
    Share ClassLO Selection - The Conservative (CHF) N A CurrencyCHFDate06.05.2025NAV105.66
    Share ClassLO Selection - The Conservative (CHF) P A CurrencyCHFDate06.05.2025NAV100.24
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