PICTET: Change in the calculation of NAV/issue and redemption of units as of 04.12.2025

Fund Name  YTD  1 M  3 M  6 M  1 Y  2 Y  3 Y  5 Y  MyFunds
Pictet - Emerging Markets Multi Asset P EUR
LU2272220935
+10.39% -0.85% +8.19% +12.94% +9.96% +23.73% +27.37% +16.92%
Pictet - Emerging Markets Multi Asset P USD
LU2272219846
+24.34% +0.32% +8.17% +15.59% +21.94% +33.42% +41.11% +12.59%
Pictet - Emerging Markets Multi Asset R EUR
LU2272220265
+9.90% -0.89% +8.05% +12.65% +9.41% +22.48% +25.38% +14.19%
Pictet - Emerging Markets Multi Asset R USD
LU2272220000
+23.76% +0.28% +8.03% +15.30% +21.32% +32.05% +38.93% +9.99%
Pictet - Emerging Markets Multi Asset Z USD
LU2272219929
Q
+25.79% +0.44% +8.51% +16.34% +23.48% +36.90% +46.71% +19.45%
Pictet - Emerging Markets P dm EUR
LU2273156799
+6.59% -2.49% +8.14% +9.72% +7.99% +22.56% +20.91% -17.62%
Pictet - Emerging Markets P dm GBP
LU2273156872
+12.35% -3.28% +8.90% +13.73% +13.87% +24.65% +22.44% -16.33%
Pictet - Emerging Markets P dm USD
LU2273158571
+19.87% -0.90% +8.37% +12.23% +19.93% +31.94% +34.15% -20.68%
Pictet - Emerging Markets P GBP
LU2273156955
+12.56% -3.28% +8.89% +13.77% +14.13% +26.07% +24.39% -13.34%
Pictet - Emerging Markets R dm EUR
LU2273157094
+6.22% -2.54% +7.97% +9.44% +7.60% +17.55% +10.96% -28.95%
/ Add to MyFunds list / Delete from MyFunds list
/ Add to comparison list / Remove from comparison list
Q
Fund for qualified investors
E
The fund is an ETF / The fund is an ETSF
S
The fund is a Sponsored Fund