BCV Stratégie Dynamique ESG A

The objective of the BCV Stratégie Dynamique ESG Sub-fund is to obtain long-term growth through the search for capital gains and additional income. The Sub-fund's investment policy reflects that of the Bank Cantonale Vaudoise, based on an allocation of assets and 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 least 45% and at most 95% of its assets in shares, other securities, and participation rights of companies worldwide. It invests a maximum of 55% in bonds, other instruments, and debt securities, from debtors 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 investments that include equities, commodities, or precious metals. It also invests in derivative financial instruments and structured products on various underlyings and in cash. Alternative collective investment schemes are also authorized for up to 30% of the Sub-fund's assets.

FRDEENESGRIT
Fund manager's report 06.25
Annual report 04.25
Semi-annual report 10.24
Brochure 04.25
Factsheets 08.25 08.25 08.25
PRIIPS KID 04.25 04.25
Prospectus and fund regulation 05.25
EMT 07.25
entre
Peformance evolution (dividends reinvested)

Past performance is no guarantee of future returns and the historical returns do not take account of issuing commission fees.

Date VNI
05/09/2025 CHF 113.96
04/09/2025 CHF 114.17
03/09/2025 CHF 113.55
02/09/2025 CHF 112.87
01/09/2025 CHF 113.66
31/08/2025 CHF 113.48
29/08/2025 CHF 113.48
28/08/2025 CHF 113.83
27/08/2025 CHF 113.80
26/08/2025 CHF 113.68
25/08/2025 CHF 113.93
22/08/2025 CHF 113.97
21/08/2025 CHF 113.62
20/08/2025 CHF 113.52
19/08/2025 CHF 113.79
18/08/2025 CHF 113.58
15/08/2025 CHF 113.55
14/08/2025 CHF 113.52
13/08/2025 CHF 113.36
12/08/2025 CHF 113.18
11/08/2025 CHF 113.11
08/08/2025 CHF 112.80
07/08/2025 CHF 112.69
06/08/2025 CHF 112.15
05/08/2025 CHF 112.02
Date VNI Devise Montant brut - Suisse Montant net - Suisse Montant brut / net - Etranger Capital gain
30/04/2025 CHF 1.5747 1.0235 1.5747 0.0000
16/07/2024 CHF 1.5000 0.9750 1.5000 0.0000
18/07/2023 CHF 1.3000 0.8450 1.3000 0.0000
19/07/2022 CHF 1.1000 0.7150 1.1000 0.0000
20/07/2021 CHF 1.1000 0.7150 1.1000 0.0000
21/07/2020 CHF 1.4000 0.9100 0.9100 0.0000
23/07/2019 CHF 1.3000 0.8450 0.8450
24/07/2018 CHF 0.9500 0.6175 0.6175
14/07/2017 CHF 0.6000 0.3900 0.3900
15/07/2016 CHF 0.4500 0.2925 0.2925
17/07/2015 CHF 0.5500 0.3575 0.3575
18/07/2014 CHF 0.9500 0.6175 0.6175
19/07/2013 CHF 1.0000 0.6500 0.6500
18/07/2012 CHF 0.9000 0.5900 0.5900
18/07/2011 CHF 0.8000 0.5200 0.5200
20/07/2010 CHF 0.9500 0.6200 0.6200
23/07/2009 CHF 1.1000 0.7200 0.7200
22/07/2008 CHF 1.4000 0.9100 0.9100
24/07/2007 CHF 1.0000 0.6500 0.6500
24/07/2006 CHF 0.7500 0.4900 0.4900
25/07/2005 CHF 0.7500 0.4900 0.4900
21/07/2004 CHF 0.7500 0.4900 0.4900
23/07/2003 CHF 1.0000 0.6500 1.0000
30/07/2002 CHF 1.0000 0.6500 0.6500
30/07/2001 CHF 1.0000 0.6500 0.6500
28/07/2000 CHF 0.3000 0.2000 0.2000