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

Fund Name  Date  Equity Participation
Rate in %
 
Share of Total
Fund Assets in %
 
Real Estate
Rate in %
 
ADDI MyFunds
Pictet - Emerging Markets P GBP
LU2273156955
19.01.2026
Pictet - Emerging Markets R dm EUR
LU2273157094
19.01.2026
Pictet - Emerging Markets R dm USD
LU2273157177
19.01.2026
Pictet - EUR Government Bonds -HI CHF
LU0241468395
16.01.2026 19.8163
16.01.2026
Pictet - EUR Government Bonds -HJ USD
LU1164803873
Q
16.01.2026
Pictet - EUR Government Bonds -HP CHF
LU0241468718
16.01.2026 18.5142
16.01.2026
Pictet - EUR Government Bonds -HZ CHF
LU1330293116
Q
16.01.2026
Pictet - EUR Government Bonds -I
LU0241467157
16.01.2026 22.7863
16.01.2026
Pictet - EUR Government Bonds -I dy
LU0953042495
16.01.2026
Pictet - EUR Government Bonds -J EUR
LU1164804095
Q
16.01.2026
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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
* Calculation of interim profit followed § 9 Satz 2 InvStG