|
|
|
|
|
|
|
| Aktuelle Fondskurse |
|
|
Es handelt sich um die aktuellen, resp. Vortageskurse der ausgewählten
Drittfonds.
|
|
| Geldmarkt Fonds |
Valor |
|
Währung |
NAV |
|
Datum |
|
| DWS (CH) - Money Market CHF |
422.693
|
|
CHF |
72.61 |
|
2Jan2009
|
| DWS (CH) - Money Market EUR |
422.708
|
|
EUR |
81.31 |
|
2Jan2009
|
| DWS (CH) - Money Market USD |
422.703
|
|
USD |
76.26 |
|
2Jan2009
|
|
| Obligationen Fonds |
Valor |
|
Währung |
NAV |
|
Datum |
|
| CS Bond Fund (Lux) Infl. Link. B |
1664.165
|
|
CHF |
100.21 |
|
2Jan2009
|
| DWS (CH) - Bond Fonds (SFR) |
416.485
|
|
CHF |
81.13 |
|
2Jan2009
|
| DWS (CH) - Renten Global |
353.198
|
|
CHF |
78.32 |
|
2Jan2009
|
| Jefferies Global Convertible Bonds CHF B |
1631.518
|
|
CHF |
16.61 |
|
1Jan2009
|
| Pictet P.F.I.F. - EUR Bonds P Cap |
1226.052
|
|
EUR |
374.26 |
|
2Jan2009
|
|
| Aktien Fonds |
Valor |
|
Währung |
NAV |
|
Datum |
|
| BZ Infra Aktienfonds |
2331.118
|
|
CHF |
104.31 |
|
2Jan2009
|
| Classic Value Equity Fund A-Klasse |
1907.790
|
|
CHF |
52.90 |
|
2Jan2009
|
| DWS (CH) - Aktien Global |
353.197
|
|
CHF |
191.32 |
|
2Jan2009
|
| DWS Osteuropa |
92.610
|
|
EUR |
304.56 |
|
2Jan2009
|
| HSZ China Fund CHF |
2682.806
|
|
CHF |
120.18 |
|
19Nov2007
|
| ING (L) Invest Europe High Div. Cap |
1993.974
|
|
EUR |
208.86 |
|
1Jan2009
|
| JPMorgan Europe Strategic Value A (acc) |
2051.112
|
|
EUR |
6.87 |
|
1Jan2009
|
| Nordea-1 North American Value Fund |
601.300
|
|
USD |
18.40 |
|
2Jan2009
|
| Pictet - Swiss Mid-Small Cap |
329.958
|
|
CHF |
2'061.88 |
|
2Jan2009
|
| Pictet Funds - Emerging Markets P |
1255.424
|
|
USD |
308.33 |
|
2Jan2009
|
|
| Exchange Traded Funds |
Valor |
|
Währung |
NAV |
|
Datum |
|
| UBS-ETF SMI |
1714.271
|
|
CHF |
55.54 |
|
2Jan2009
|
|
| Sektoren Fonds |
Valor |
|
Währung |
NAV |
|
Datum |
|
| ACM Internat. Technology Fund A |
410.450
|
|
USD |
75.75 |
|
2Jan2009
|
| Pharma/wHealth |
145.442
|
|
USD |
188.42 |
|
2Jan2009
|
| Pictet Funds - Water P Cap |
1021.903
|
|
EUR |
103.01 |
|
2Jan2009
|
|
| Alternative Anlagen |
Valor |
|
Währung |
NAV |
|
Datum |
|
| ABN/AIG Private Bank China Soft Commodity |
2573.581
|
|
CHF |
88.40 |
|
2Jan2009
|
| UBS (CH) Commodity Fund |
2104.688
|
|
CHF |
71.42 |
|
2Jan2009
|