Swisscanto (LU) Bond Fund Committed Global Rates ST

YTD 1 month 3 months 6 months 1 year 2 years 3 years 5 years
-0.19%
31.12.25 - 09.01.26
+0.65%
09.12.25 - 09.01.26
+0.43%
09.10.25 - 09.01.26
+0.16%
09.07.25 - 09.01.26
+8.20%
09.01.25 - 09.01.26
+4.42%
09.01.24 - 09.01.26
+11.26%
05.09.23 - 09.01.26
-
111,527.75 (H)
07.01.2026
111,706.96 (H)
29.12.2025
112,303.80 (H)
16.10.2025
112,809.58 (H)
17.09.2025
112,809.58 (H)
17.09.2025
112,809.58 (H)
17.09.2025
112,809.58 (H)
17.09.2025
-
111,263.20 (L)
09.01.2026
110,547.92 (L)
09.12.2025
110,382.01 (L)
20.11.2025
109,698.05 (L)
31.07.2025
101,996.39 (L)
13.01.2025
101,707.39 (L)
26.04.2024
98,454.69 (L)
19.10.2023
-