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 - Europe Index -P EUR
LU0130731390
S
03.12.2025 19.1338
03.12.2025
Pictet - Europe Index -R dy GBP
LU0396226531
03.12.2025
Pictet - Europe Index -R EUR
LU0130731713
03.12.2025 17.1156
03.12.2025
Pictet - Europe Index -Z EUR
LU0232583665
Q
03.12.2025 13.2028
03.12.2025
Pictet - Europe Index J EUR
LU1834886860
Q
03.12.2025
Pictet - Europe Index JS EUR
LU1876525889
Q
03.12.2025
Pictet - Family -D1 USD
LU2347662954
04.12.2025
Pictet - Family -I EUR
LU0131724808
04.12.2025 33.0512
04.12.2025
Pictet - Family -P dy EUR
LU0208607746
04.12.2025 4.9818
04.12.2025
Pictet - Family -P EUR
LU0130732364
04.12.2025 19.6886
04.12.2025
/ 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
* Calculation of interim profit followed § 9 Satz 2 InvStG