BCV Actif Balancé ESG (CHF)

The BCV Actif Balancé ESG (CHF) Sub-fund aims to strike a balance between capital growth and additional income. The Sub-fund's investment policy reflects that of the Bank Cantonale Vaudoise, based on an international currency diversification predominantly exposed to the Swiss franc. The Sub-fund is broadly diversified. The portfolio manager takes into account environmental, social, and governance (ESG) criteria for the portion of the sub-fund's assets specified in the investment policy when selecting investments and determining their weighting in the portfolio. The Sub-fund, directly or indirectly, invests at the most 80% of its assets in bonds and other securities or debt instruments, of debtors worldwide as well as in cash. It invests at least 15% and a maximum of 65% in equities, other securities, and participation rights of companies from around the world. It is also authorized to hold a maximum of 15% of real estate investments in units of collective investments and real estate companies. Up to a maximum of 30%, the Sub-fund may also invest in units of collective investment schemes that invest in commodities and precious metals. It also invests in derivative financial instruments and structured products on various underlyings. Alternative collective investment schemes are also authorized for up to 30% of the Sub-fund's assets.

FRDEENESGRIT
Kommentar des Fondsmanagers 03.25
Jahresbericht 04.24
Halbjahresbericht 10.24
Broschüre 02.24
Factsheets 03.25 03.25 03.25
PRIIPS KID 12.24 12.24
Fondsprospekt und -vertrag 05.25
EMT 09.24
entre
Entwicklung der Performance (Reinvestierte Ausschüttungen)

Die historischen Performances stellen keine Garantie für zukünftige Performances dar und berücksichtigen nicht die Ausgabekommissionen.

Datum NIW
20.08.2024 CHF 101.06
19.08.2024 CHF 101.20
16.08.2024 CHF 100.92
15.08.2024 CHF 100.80
14.08.2024 CHF 100.20
13.08.2024 CHF 99.79
12.08.2024 CHF 99.42
09.08.2024 CHF 99.19
08.08.2024 CHF 98.90
07.08.2024 CHF 98.97
06.08.2024 CHF 97.86
05.08.2024 CHF 97.71
02.08.2024 CHF 99.08
31.07.2024 CHF 101.33
30.07.2024 CHF 100.88
29.07.2024 CHF 100.81
26.07.2024 CHF 100.72
25.07.2024 CHF 100.37
24.07.2024 CHF 100.76
23.07.2024 CHF 101.61
22.07.2024 CHF 101.32
19.07.2024 CHF 101.01
18.07.2024 CHF 101.28
17.07.2024 CHF 101.72
16.07.2024 CHF 102.17
Bisher keine Ausschüttung.