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 - Swiss Franc Bond Foreign AI
LU1331778172
Q
93.44 CHF
29.12.2025
93.44 CHF
29.12.2025
93.44 CHF
29.12.2025
+0.80%
Vontobel Fund - Swiss Franc Bond Foreign AN
LU1683487463
95.80 CHF
29.12.2025
95.80 CHF
29.12.2025
95.80 CHF
29.12.2025
+0.76%
Vontobel Fund - Swiss Franc Bond Foreign B
LU0035738771
234.61 CHF
29.12.2025
234.61 CHF
29.12.2025
234.61 CHF
29.12.2025
+0.46%
Vontobel Fund - Swiss Franc Bond Foreign C
LU0137003116
179.95 CHF
29.12.2025
179.95 CHF
29.12.2025
179.95 CHF
29.12.2025
+0.06%
Vontobel Fund - Swiss Franc Bond Foreign G
LU1206762293
Q
101.48 CHF
29.12.2025
101.48 CHF
29.12.2025
101.48 CHF
29.12.2025
+0.87%
Vontobel Fund - Swiss Franc Bond Foreign I
LU0278084768
Q
135.11 CHF
29.12.2025
135.11 CHF
29.12.2025
135.11 CHF
29.12.2025
+0.79%
Vontobel Fund - Swiss Franc Bond Foreign N
LU1683481425
99.32 CHF
29.12.2025
99.32 CHF
29.12.2025
99.32 CHF
29.12.2025
+0.75%
Vontobel Fund - Swiss Franc Bond Foreign R
LU0996452701
Q
106.18 CHF
29.12.2025
106.18 CHF
29.12.2025
106.18 CHF
29.12.2025
+0.75%
Vontobel Fund - Swiss Mid And Small Cap Equity A
LU0129602552
267.62 CHF
29.12.2025
267.62 CHF
29.12.2025
267.62 CHF
29.12.2025
+10.22%
Vontobel Fund - Swiss Mid And Small Cap Equity AN
LU1683480708
128.72 CHF
29.12.2025
128.72 CHF
29.12.2025
128.72 CHF
29.12.2025
+11.12%
/ 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