Swiss Life iFunds: Comunicazioni supplementari (inerenti anche a modifiche di regolamenti e prospetti di fondi) dal 23.06.2025

Nome del fondo  NAV  Issue Price  Redemption Price  Closing Price  Trading Information SIX YTD Perf.  MyFunds
Swiss Life iFunds (CH) Bond Global Aggregate (CHF hedged) I-A1
CH1232663679
Q
940.71 CHF
03.09.2025
940.71 CHF
03.09.2025
940.71 CHF
03.09.2025
-0.28%
Swiss Life iFunds (CH) Bond Global Aggregate (CHF hedged) I-A2
CH1232663687
Q
938.08 CHF
03.09.2025
938.08 CHF
03.09.2025
938.08 CHF
03.09.2025
-0.49%
Swiss Life iFunds (CH) Bond Global Corporates (CHF hedged) I-A 1
CH0114218610
Q
794.66 CHF
03.09.2025
796.57 CHF
03.09.2025
796.57 CHF
03.09.2025
+1.71%
Swiss Life iFunds (CH) Bond Global Corporates (CHF hedged) I-A 2
CH0219870703
Q
796.88 CHF
03.09.2025
798.79 CHF
03.09.2025
798.79 CHF
03.09.2025
+1.45%
Swiss Life iFunds (CH) Bond Global Corporates Short Term (CHF hedged) I-A 0 AST
CH1291247638
Q
995.01 CHF
03.09.2025
996.70 CHF
03.09.2025
996.70 CHF
03.09.2025
+1.26%
Swiss Life iFunds (CH) Bond Global Corporates Short Term (CHF hedged) I-A 1
CH0219870430
Q
766.26 CHF
03.09.2025
767.56 CHF
03.09.2025
767.56 CHF
03.09.2025
+1.18%
Swiss Life iFunds (CH) Bond Global Corporates Short Term (CHF hedged) I-A 2
CH0219870455
Q
764.49 CHF
03.09.2025
765.79 CHF
03.09.2025
765.79 CHF
03.09.2025
+1.03%
Swiss Life iFunds (CH) Bond Global Corporates Short Term (CHF hedged) I-A 2 Cap
CH0407409843
Q
938.72 CHF
03.09.2025
940.32 CHF
03.09.2025
940.32 CHF
03.09.2025
+1.03%
Swiss Life iFunds (CH) Bond Global Government + (CHF hedged) I-A 1
CH0023989624
Q
744.84 CHF
03.09.2025
745.66 CHF
03.09.2025
745.66 CHF
03.09.2025
-0.80%
Swiss Life iFunds (CH) Bond Global Government + (CHF hedged) I-A 2
CH0324001301
Q
786.72 CHF
03.09.2025
787.59 CHF
03.09.2025
787.59 CHF
03.09.2025
-1.00%
/ Aggiungi alla lista MyFunds / Cancella dalla lista MyFunds
/ Aggiungi alla lista di confronto / Cancella dalla lista di confronto
Q
Fondo per investitori qualificati
E
Il fondo è un ETF / Il fondo è un ETFS
S
Il fondo è un Sponsored Fund
* NAV / Issue Price commissioni escluse, per fondi quotati in borsa NAV o quotazione di chiusura