Vontobel Fund: Merger of collective investment schemes or subfunds as of 10.11.2025

Fund Name  NAV  Issue Price  Redemption Price  Closing Price  Trading Information SIX YTD Perf.  MyFunds
Vontobel Fund - Commodity B
LU0415414829
S
96.68 USD
23.12.2025
96.68 USD
23.12.2025
96.68 USD
23.12.2025
+20.04%
Vontobel Fund - Commodity C
LU0415415123
151.31 USD
23.12.2025
151.31 USD
23.12.2025
151.31 USD
23.12.2025
+19.34%
Vontobel Fund - Commodity G
LU1912801211
Q
191.41 USD
23.12.2025
191.41 USD
23.12.2025
191.41 USD
23.12.2025
+21.39%
Vontobel Fund - Commodity H (hedged)
LU0415415479
S
62.63 CHF
23.12.2025
62.63 CHF
23.12.2025
62.63 CHF
23.12.2025
+14.73%
Vontobel Fund - Commodity H (hedged)
LU0415415636
S
52.06 EUR
23.12.2025
52.06 EUR
23.12.2025
52.06 EUR
23.12.2025
+17.15%
Vontobel Fund - Commodity H (hedged)
LU0505242726
779.27 SEK
23.12.2025
779.27 SEK
23.12.2025
779.27 SEK
23.12.2025
+16.90%
Vontobel Fund - Commodity HI (hedged)
LU0415416287
Q
99.56 CHF
23.12.2025
99.56 CHF
23.12.2025
99.56 CHF
23.12.2025
+15.65%
Vontobel Fund - Commodity HI (hedged)
LU0415416444
Q
100.54 EUR
23.12.2025
100.54 EUR
23.12.2025
100.54 EUR
23.12.2025
+18.09%
Vontobel Fund - Commodity HI (hedged)
LU0505242999
Q
783.61 SEK
23.12.2025
783.61 SEK
23.12.2025
783.61 SEK
23.12.2025
+17.81%
Vontobel Fund - Commodity HN (hedged)
LU1683489089
145.06 EUR
23.12.2025
145.06 EUR
23.12.2025
145.06 EUR
23.12.2025
+18.08%
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Q
Fund for qualified investors
E
The fund is an ETF / The fund is an ETSF
S
The fund is a Sponsored Fund
* NAV / Issue Price exclusive commissions, for listed funds NAV or closing price