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 - Green Bond AM
LU0571063014
72.66 USD
29.12.2025
72.66 USD
29.12.2025
72.66 USD
29.12.2025
+14.96%
Vontobel Fund - Green Bond B
LU0035744829
380.53 EUR
29.12.2025
380.53 EUR
29.12.2025
380.53 EUR
29.12.2025
+1.56%
Vontobel Fund - Green Bond I
LU0278087357
Q
160.40 EUR
29.12.2025
160.40 EUR
29.12.2025
160.40 EUR
29.12.2025
+1.81%
Vontobel Fund - Green Bond N
LU1683481698
99.07 EUR
29.12.2025
99.07 EUR
29.12.2025
99.07 EUR
29.12.2025
+1.77%
Vontobel Fund - Green Bond R
LU0996452024
Q
116.86 EUR
29.12.2025
116.86 EUR
29.12.2025
116.86 EUR
29.12.2025
+1.72%
Vontobel Fund - mtx Asian Leaders (ex Japan) A
LU0384409180
470.95 USD
29.12.2025
470.95 USD
29.12.2025
470.95 USD
29.12.2025
+31.66%
Vontobel Fund - mtx Asian Leaders (ex Japan) AG
LU3191232290
102.92 USD
29.12.2025
102.92 USD
29.12.2025
102.92 USD
29.12.2025
Vontobel Fund - mtx Asian Leaders (ex Japan) AN
LU1683484361
135.96 USD
29.12.2025
135.96 USD
29.12.2025
135.96 USD
29.12.2025
+32.74%
Vontobel Fund - mtx Asian Leaders (ex Japan) B
LU0384409263
511.77 USD
29.12.2025
511.77 USD
29.12.2025
511.77 USD
29.12.2025
+31.66%
Vontobel Fund - mtx Asian Leaders (ex Japan) C
LU3012648104
144.80 USD
29.12.2025
144.80 USD
29.12.2025
144.80 USD
29.12.2025
/ 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
* NAV / Issue Price exclusive commissions, for listed funds NAV or closing price