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1OAK Multi Asset 80 UCITS Fund
Share class | ISIN | Currency | Date | NAV | YTD Perf (%) | 1w (%) | 1m (%) | 3m (%) | 6m (%) | 1yr (%) | 3yrs (%) |
---|---|---|---|---|---|---|---|---|---|---|---|
EUR A Class Shares | IE00BMW4T065 | EUR | * | * | * | * | * | * | * | * | * |
EUR B Class Shares | IE00BMW4T396 | EUR | 19/11/2024 | 108.24 | 11.55 | -0.88 | -1.28 | 1.74 | 3.58 | * | -0.80 |
EUR CA Class Shares | IE000GPD8QG5 | EUR | 19/11/2024 | 110.01 | 12.27 | -0.85 | -1.14 | 1.99 | 4.01 | * | * |
EUR D1 Class Distributing Shares | IE00BN7JDM37 | EUR | * | * | * | * | * | * | * | * | * |
EUR D2 Class Distributing Shares | IE00BMW4T958 | EUR | 19/11/2024 | 96.86 | 8.33 | -0.87 | -1.21 | 0.76 | 1.59 | * | -12.29 |
EUR O1 Class Shares | IE00BMW4TB72 | EUR | * | * | * | * | * | * | * | * | * |
EUR O2 Class Shares | IE00BMW4TC89 | EUR | * | * | * | * | * | * | * | * | * |
GBP A Class Shares | IE00BMW4T172 | GBP | 19/11/2024 | 115.18 | 13.66 | -0.81 | -1.02 | 2.41 | 4.75 | * | 5.16 |
GBP B Class Shares | IE00BMW4T404 | GBP | 19/11/2024 | 115.12 | 12.98 | -0.81 | -1.08 | 2.22 | 4.33 | * | 2.90 |
GBP D1 Class Distributing Shares | IE00BMW4T628 | GBP | 19/11/2024 | 99.13 | 10.36 | -0.80 | -1.01 | 1.34 | 2.63 | * | * |
GBP D2 Class Distributing Shares | IE00BMW4T735 | GBP | 19/11/2024 | 96.40 | 9.65 | -0.82 | -1.05 | 1.18 | 2.27 | * | -8.84 |
GBP G3 Class Shares | IE0006XLPUS2 | GBP | * | * | * | * | * | * | * | * | * |
GBP G4 Class Distributing Shares | IE000D7U3YI9 | GBP | * | * | * | * | * | * | * | * | * |
SGD A Class Shares | IE00BMCK9N76 | SGD | * | * | * | * | * | * | * | * | * |
SGD B Class Shares | IE00BMCK9P90 | SGD | * | * | * | * | * | * | * | * | * |
SGD D1 Class Distributing Shares | IE00BMCK9Q08 | SGD | * | * | * | * | * | * | * | * | * |
SGD D2 Class Distributing Shares | IE00BMCK9R15 | SGD | * | * | * | * | * | * | * | * | * |
USD A Class Shares | IE00BMW4T289 | USD | 19/11/2024 | 119.79 | 14.22 | -0.78 | -1.00 | 2.50 | 5.03 | * | 8.87 |
USD B Class Shares | IE00BMW4T511 | USD | 19/11/2024 | 115.76 | 13.46 | -0.79 | -1.07 | 2.31 | 4.63 | * | 6.46 |
USD CD Class Distributing Shares | IE0001TEXIK2 | USD | * | * | * | * | * | * | * | * | * |
USD D1 Class Distributing Shares | IE00BMW4T842 | USD | * | * | * | * | * | * | * | * | * |
USD D2 Class Distributing Shares | IE00BN7JDN44 | USD | 19/11/2024 | 99.94 | 10.10 | -0.79 | -1.07 | 1.28 | 2.55 | * | -5.69 |
ABR 75/25 Volatility UCITS Fund
Share class | ISIN | Currency | Date | NAV | YTD Perf (%) | 1w (%) | 1m (%) | 3m (%) | 6m (%) | 1yr (%) | 3yrs (%) |
---|---|---|---|---|---|---|---|---|---|---|---|
CHF E Class Pooled Shares | IE000FLDI342 | CHF | * | * | * | * | * | * | * | * | * |
CHF K Class Pooled Shares | IE00088TFNZ4 | CHF | 19/11/2024 | 97.36 | 10.00 | -0.86 | 0.02 | 1.64 | 6.29 | * | * |
EUR K Class Pooled Shares | IE000OFMFWU4 | EUR | 19/11/2024 | 98.46 | 11.94 | -0.83 | 0.21 | 2.19 | 7.19 | * | * |
GBP C Class Pooled Shares | IE0004CXTKH2 | GBP | 19/11/2024 | 101.80 | 14.52 | -0.80 | 0.26 | 2.60 | 8.89 | * | * |
GBP I Class Pooled Shares | IE000LMDIPI8 | GBP | 19/11/2024 | 100.59 | 14.31 | -0.81 | 0.21 | 2.75 | 8.91 | * | * |
GBP K Class Pooled Shares | IE000UB43QK1 | GBP | 19/11/2024 | 102.42 | 13.54 | -0.81 | 0.24 | 2.37 | 8.19 | * | * |
USD A Class Pooled Shares | IE00BLH1SH57 | USD | 19/11/2024 | 104.29 | 14.23 | -0.81 | 0.24 | 2.53 | 8.56 | * | * |
USD A Class Shares | IE00BLH1SJ71 | USD | * | * | * | * | * | * | * | * | * |
USD B Class Pooled Shares | IE00BLH1SK86 | USD | * | * | * | * | * | * | * | * | * |
USD B Class Shares | IE00BLH1SL93 | USD | * | * | * | * | * | * | * | * | * |
USD C Class Pooled Shares | IE00BLH1SM01 | USD | 19/11/2024 | 107.93 | 13.33 | -0.81 | 0.24 | 2.55 | 7.71 | * | * |
USD C Class Shares | IE00BLH1SN18 | USD | * | * | * | * | * | * | * | * | * |
USD D Class Pooled Shares | IE00BLH1SP32 | USD | 19/11/2024 | 100.22 | 12.25 | -0.81 | 0.25 | 2.55 | 7.71 | * | * |
USD D Class Shares | IE00BLH1SQ49 | USD | * | * | * | * | * | * | * | * | * |
USD E Class Pooled Shares | IE00BLH1SR55 | USD | 19/11/2024 | 107.50 | 12.63 | -0.80 | 0.25 | 2.55 | 7.72 | * | 4.56 |
USD E Class Shares | IE00BLH1SS62 | USD | * | * | * | * | * | * | * | * | * |
USD F Class Pooled Shares | IE00BLH1ST79 | USD | 19/11/2024 | 102.27 | 12.31 | -0.80 | 0.25 | 2.55 | 7.76 | * | * |
USD F Class Shares | IE00BLH1SV91 | USD | * | * | * | * | * | * | * | * | * |
USD Founder Class Pooled Shares | IE00BLH1SF34 | USD | * | * | * | * | * | * | * | * | * |
USD Founder Class Shares | IE00BLH1SG41 | USD | * | * | * | * | * | * | * | * | * |
USD G Class Pooled Shares | IE00BLH1SW09 | USD | 19/11/2024 | 103.49 | 13.97 | -0.81 | 0.20 | 2.42 | 8.47 | * | * |
USD G Class Shares | IE00BLH1SX16 | USD | * | * | * | * | * | * | * | * | * |
USD H Class Pooled Shares | IE00BLH1SY23 | USD | 19/11/2024 | 101.47 | * | -0.81 | * | * | * | * | * |
USD H Class Shares | IE00BLH1SZ30 | USD | * | * | * | * | * | * | * | * | * |
USD I Class Pooled Shares | IE00BLH1T053 | USD | 19/11/2024 | 99.14 | 11.86 | -0.81 | 0.21 | 2.45 | 7.51 | * | * |
USD I Class Shares | IE00BLH1T160 | USD | * | * | * | * | * | * | * | * | * |
USD J Class Pooled Shares | IE00BLH1T277 | USD | 19/11/2024 | 103.49 | 13.97 | -0.81 | 0.20 | 2.42 | 8.47 | * | * |
USD J Class Shares | IE00BLH1T384 | USD | * | * | * | * | * | * | * | * | * |
USD K Class Pooled Shares | IE00BLH1T491 | USD | 19/11/2024 | 104.73 | 12.81 | -0.81 | 0.22 | 2.45 | 7.51 | * | 3.13 |
USD K Class Shares | IE00BLH1T509 | USD | * | * | * | * | * | * | * | * | * |
USD L Class Pooled Shares | IE00BLH1T616 | USD | 19/11/2024 | 100.94 | 11.86 | -0.81 | 0.21 | 2.44 | 7.51 | * | * |
USD L Class Shares | IE00BLH1T723 | USD | * | * | * | * | * | * | * | * | * |
USD M Class Pooled Shares | IE0003KFMP47 | USD | * | * | * | * | * | * | * | * | * |
USD N Class Pooled Shares | IE000IHSHTM8 | USD | * | * | * | * | * | * | * | * | * |
USD O Class Pooled Shares | IE000LLAC0A6 | USD | * | * | * | * | * | * | * | * | * |
USD P Class Pooled Shares | IE000TA10WV9 | USD | * | * | * | * | * | * | * | * | * |
USD Q Class Pooled Shares | IE000CIS6DJ7 | USD | * | * | * | * | * | * | * | * | * |
USD R Class Pooled Shares | IE0001L2JRG3 | USD | * | * | * | * | * | * | * | * | * |
USD S Class Pooled Shares | IE000WQ3JP90 | USD | * | * | * | * | * | * | * | * | * |
USD T Class Pooled Shares | IE000FP5JJ36 | USD | 19/11/2024 | 103.48 | 13.96 | -0.81 | 0.20 | 2.40 | 8.47 | * | * |
Advent Global Partners UCITS Fund
Share class | ISIN | Currency | Date | NAV | YTD Perf (%) | 1w (%) | 1m (%) | 3m (%) | 6m (%) | 1yr (%) | 3yrs (%) |
---|---|---|---|---|---|---|---|---|---|---|---|
CHF Institutional Class A Pooled Shares | IE00BD3CQ943 | CHF | 19/11/2024 | 121.42 | 5.28 | -0.80 | 0.98 | 3.24 | 5.07 | * | 0.57 |
CHF Institutional Class A Shares | IE00BD3CQ505 | CHF | * | * | * | * | * | * | * | * | * |
CHF Institutional Class B Pooled Shares | IE00BD3CQK51 | CHF | * | * | * | * | * | * | * | * | * |
CHF Institutional Class Founder Pooled Shares | IE00BD3CR248 | CHF | * | * | * | * | * | * | * | * | * |
CHF Institutional Class Founder Shares | IE00BD3CQY97 | CHF | * | * | * | * | * | * | * | * | * |
CHF Institutional Class Pooled Shares | IE00BNTVVK11 | CHF | * | * | * | * | * | * | * | * | * |
CHF Institutional Class Shares | IE00BNTVVP65 | CHF | * | * | * | * | * | * | * | * | * |
CHF Retail Class Pooled Shares | IE00BD3CQP07 | CHF | 19/11/2024 | 117.87 | 5.32 | -0.81 | 0.94 | 3.57 | 5.32 | * | -0.43 |
CHF Retail Class Shares | IE00BD3CQT45 | CHF | * | * | * | * | * | * | * | * | * |
EUR Institutional Class A Pooled Shares | IE00BD3CQ612 | EUR | 19/11/2024 | 129.21 | 6.82 | -0.77 | 1.16 | 3.83 | 5.84 | * | 4.50 |
EUR Institutional Class A Shares | IE00BD3CQ273 | EUR | * | * | * | * | * | * | * | * | * |
EUR Institutional Class B Pooled Shares | IE00BD3CQG16 | EUR | * | * | * | * | * | * | * | * | * |
EUR Institutional Class Founder A Pooled | IE000FSEWDZ6 | * | * | * | * | * | * | * | * | * | * |
EUR Institutional Class Founder Pooled Shares | IE00BD3CQZ05 | EUR | 19/11/2024 | 132.51 | 7.47 | -0.81 | 1.25 | 4.12 | 6.33 | * | 5.55 |
EUR Institutional Class Founder Shares | IE00BD3CQV66 | EUR | * | * | * | * | * | * | * | * | * |
EUR Institutional Class Pooled Shares | IE00BNTVVH81 | EUR | * | * | * | * | * | * | * | * | * |
EUR Institutional Class Shares | IE00BNTVVM35 | EUR | * | * | * | * | * | * | * | * | * |
EUR Retail Class Pooled Shares | IE00BD3CQL68 | EUR | 19/11/2024 | 123.54 | 6.46 | -0.78 | 1.12 | 3.72 | 5.62 | * | 2.99 |
EUR Retail Class Shares | IE00BD3CQQ14 | EUR | * | * | * | * | * | * | * | * | * |
GBP Institutional Class A Pooled Shares | IE00BD3CQ729 | GBP | 19/11/2024 | 131.06 | 7.83 | -0.73 | 1.27 | 4.12 | 6.42 | * | 8.01 |
GBP Institutional Class A Shares | IE00BD3CQ380 | GBP | * | * | * | * | * | * | * | * | * |
GBP Institutional Class B Pooled Shares | IE00BD3CQH23 | GBP | * | * | * | * | * | * | * | * | * |
GBP Institutional Class Founder Pooled Shares | IE00BD3CR024 | GBP | * | * | * | * | * | * | * | * | * |
GBP Institutional Class Founder Shares | IE00BD3CQW73 | GBP | * | * | * | * | * | * | * | * | * |
GBP Institutional Class Pooled Shares | IE00BNTVVJ06 | GBP | 19/11/2024 | 114.39 | 8.21 | -0.72 | 1.31 | 4.23 | 6.64 | * | * |
GBP Institutional Class Shares | IE00BNTVVN42 | GBP | * | * | * | * | * | * | * | * | * |
GBP Retail Class Pooled Shares | IE00BD3CQM75 | GBP | 19/11/2024 | 133.31 | 7.46 | -0.74 | 1.24 | 4.02 | 6.22 | * | 7.11 |
GBP Retail Class Shares | IE00BD3CQR21 | GBP | * | * | * | * | * | * | * | * | * |
USD Institutional Class A Pooled Shares | IE00BD3CQ836 | USD | 19/11/2024 | 147.00 | 7.96 | -0.75 | 1.19 | 4.07 | 6.45 | * | 9.33 |
USD Institutional Class A Shares | IE00BD3CQ497 | USD | * | * | * | * | * | * | * | * | * |
USD Institutional Class B Pooled Shares | IE00BD3CQJ47 | USD | * | * | * | * | * | * | * | * | * |
USD Institutional Class Founder Pooled Shares | IE00BD3CR131 | USD | 19/11/2024 | 152.38 | 8.68 | -0.80 | 1.28 | 4.38 | 6.99 | * | 10.63 |
USD Institutional Class Founder Shares | IE00BD3CQX80 | USD | * | * | * | * | * | * | * | * | * |
USD Institutional Class Pooled Shares | IE00BNTVVL28 | USD | 19/11/2024 | 114.31 | 8.34 | -0.75 | 1.22 | 4.17 | 6.67 | * | 10.72 |
USD Institutional Class Shares | IE00BNTVVQ72 | USD | * | * | * | * | * | * | * | * | * |
USD Retail Class Pooled Shares | IE00BD3CQN82 | USD | 19/11/2024 | 141.26 | 7.57 | -0.76 | 1.15 | 3.96 | 6.24 | * | 8.06 |
USD Retail Class Shares | IE00BD3CQS38 | USD | * | * | * | * | * | * | * | * | * |
Alpha Fixed Income UCITS Fund
Share class | ISIN | Currency | Date | NAV | YTD Perf (%) | 1w (%) | 1m (%) | 3m (%) | 6m (%) | 1yr (%) | 3yrs (%) |
---|---|---|---|---|---|---|---|---|---|---|---|
FICHA | IE000LFCJ698 | * | * | * | * | * | * | * | * | * | * |
FIEHA | IE000Z9YV312 | * | 19/11/2024 | 103.49 | * | 0.00 | -0.47 | 1.43 | * | * | * |
FIEI | IE000C8NA243 | * | * | * | * | * | * | * | * | * | * |
FIFILS | IE000E80ZAL8 | * | 19/11/2024 | 105.10 | * | 0.04 | -0.33 | 2.18 | * | * | * |
FIUA | IE000L995I49 | * | 19/11/2024 | 104.37 | * | 0.03 | -0.33 | 1.85 | * | * | * |
FIUI | IE000RDB0I49 | * | 19/11/2024 | 104.59 | * | 0.04 | -0.29 | 1.96 | * | * | * |
AlphaQuest UCITS Fund
Share class | ISIN | Currency | Date | NAV | YTD Perf (%) | 1w (%) | 1m (%) | 3m (%) | 6m (%) | 1yr (%) | 3yrs (%) |
---|---|---|---|---|---|---|---|---|---|---|---|
CHF Institutional Class Founder Pooled Shares | IE00BD08GF11 | CHF | 19/11/2024 | 93.53 | -2.98 | -0.80 | -1.62 | -1.52 | -7.11 | * | -8.70 |
CHF Institutional Class Founder Shares | IE00BD08GK63 | CHF | * | * | * | * | * | * | * | * | * |
CHF Institutional Class Pooled Shares | IE00BD08G952 | CHF | 19/11/2024 | 84.79 | -3.48 | -0.81 | -1.66 | -1.64 | -7.41 | * | * |
CHF Institutional Class Shares | IE00BD08G515 | CHF | 19/11/2024 | 97.38 | -3.43 | -0.81 | -1.67 | -1.64 | -7.35 | * | -10.27 |
CHF Retail Class Pooled Shares | IE00BD08GP19 | CHF | 19/11/2024 | 85.84 | -3.85 | -0.82 | -1.71 | -1.77 | -7.58 | * | -12.10 |
EUR Institutional Class Founder Pooled Shares | IE00BD08GC89 | EUR | * | * | * | * | * | * | * | * | * |
EUR Institutional Class Founder Shares | IE00BD08GH35 | EUR | 19/11/2024 | 100.34 | * | -0.64 | -1.21 | -0.77 | -5.14 | * | -4.41 |
EUR Institutional Class Pooled Shares | IE00BD08G739 | EUR | 19/11/2024 | 95.96 | -1.44 | -0.76 | -1.48 | -1.06 | -6.32 | * | -6.49 |
EUR Institutional Class Shares | IE00BD08G390 | EUR | 19/11/2024 | 92.94 | -1.44 | -0.76 | -1.48 | -1.05 | -6.32 | * | -6.46 |
EUR Retail Class Pooled Shares | IE00BD08GM87 | EUR | 19/11/2024 | 95.09 | -1.85 | -0.77 | -1.49 | -1.16 | -6.54 | * | -7.91 |
GBP Institutional Class Founder Pooled Shares | IE00BD08GD96 | GBP | * | * | * | * | * | * | * | * | * |
GBP Institutional Class Founder Shares | IE00BD08GJ58 | GBP | 19/11/2024 | 90.74 | 0.27 | -0.72 | -1.31 | -0.57 | -5.37 | * | * |
GBP Institutional Class Pooled Shares | IE00BD08G846 | GBP | 19/11/2024 | 90.29 | -0.21 | -0.74 | -1.36 | -0.70 | -5.64 | * | * |
GBP Institutional Class Shares | IE00BD08G408 | GBP | * | * | * | * | * | * | * | * | * |
GBP Retail Class Pooled Shares | IE00BD08GN94 | GBP | * | * | * | * | * | * | * | * | * |
USD Institutional Class A Founder Pooled Shares | IE00BZ043K76 | USD | * | * | * | * | * | * | * | * | * |
USD Institutional Class Founder Pooled Shares | IE00BD08GG28 | USD | * | * | * | * | * | * | * | * | * |
USD Institutional Class Founder Shares | IE00BD08GL70 | USD | 19/11/2024 | 78.86 | 0.61 | -0.72 | -1.27 | -0.39 | -5.11 | * | * |
USD Institutional Class Pooled Shares | IE00BD08GB72 | USD | 19/11/2024 | 104.32 | 0.16 | -0.74 | -1.32 | -0.52 | -5.36 | * | -1.20 |
USD Institutional Class Shares | IE00BD08G622 | USD | 19/11/2024 | 106.42 | 0.16 | -0.74 | -1.32 | -0.52 | -5.36 | * | -1.21 |
USD Retail Class Pooled Shares | IE00BD08GQ26 | USD | 19/11/2024 | 103.32 | -0.27 | -0.75 | -1.36 | -0.65 | -5.46 | * | -2.73 |
Alpstone Global Macro UCITS Fund
Share class | ISIN | Currency | Date | NAV | YTD Perf (%) | 1w (%) | 1m (%) | 3m (%) | 6m (%) | 1yr (%) | 3yrs (%) |
---|---|---|---|---|---|---|---|---|---|---|---|
CHF Founder Class | IE00067C3UP7 | * | * | * | * | * | * | * | * | * | * |
CHF Founder Pooled Class | IE000EXYYBP8 | * | * | * | * | * | * | * | * | * | * |
CHF Institutional Class | IE000M19ECM8 | * | * | * | * | * | * | * | * | * | * |
CHF Institutional Pooled Class | IE000V0N6HQ8 | * | * | * | * | * | * | * | * | * | * |
CHF Retail Pooled Class | IE000FTIGLJ5 | * | * | * | * | * | * | * | * | * | * |
CHF Super Institutional A Class | IE0004MWO523 | * | * | * | * | * | * | * | * | * | * |
CHF Super Institutional A Pooled Class | IE000TKSE9J9 | * | * | * | * | * | * | * | * | * | * |
CHF Super Institutional Class | IE000QA5U0Z3 | * | * | * | * | * | * | * | * | * | * |
CHF Super Institutional Pooled Class | IE000VK1Y371 | * | * | * | * | * | * | * | * | * | * |
EUR Founder Class | IE0004Y214C2 | * | * | * | * | * | * | * | * | * | * |
EUR Founder Pooled Class | IE000PZR4541 | * | 19/11/2024 | 99.65 | -1.46 | -0.13 | -1.65 | -0.84 | -2.93 | * | * |
EUR Institutional Class | IE000LPZZ0S8 | * | * | * | * | * | * | * | * | * | * |
EUR Institutional Pooled Class | IE0009HN4P31 | * | 19/11/2024 | 98.33 | -2.27 | -0.14 | -1.97 | -1.21 | -3.49 | * | * |
EUR Retail Pooled Class | IE0007K46454 | * | 19/11/2024 | 97.81 | -2.76 | -0.16 | -2.12 | -1.36 | -3.82 | * | * |
EUR Super Institutional A Class | IE000FK0GCJ3 | * | * | * | * | * | * | * | * | * | * |
EUR Super Institutional A Pooled Class | IE000JEFIAS5 | * | 19/11/2024 | 99.32 | * | -0.10 | -1.64 | -0.76 | -2.48 | * | * |
EUR Super Institutional Class | IE000UYUUY47 | * | * | * | * | * | * | * | * | * | * |
EUR Super Institutional Pooled Class | IE000WW58UO5 | * | 19/11/2024 | 99.25 | * | -0.08 | -1.64 | -0.78 | -2.53 | * | * |
GBP Founder Class | IE000NB3QBZ5 | * | * | * | * | * | * | * | * | * | * |
GBP Founder Pooled Class | IE000PRZD243 | * | 19/11/2024 | 100.95 | -0.48 | -0.07 | -1.44 | -0.49 | -2.35 | * | * |
GBP Institutional Class | IE000QCNMXO1 | * | * | * | * | * | * | * | * | * | * |
GBP Institutional Pooled Class | IE0007TCISH9 | * | 19/11/2024 | 98.64 | * | -0.14 | -1.87 | -1.07 | -3.05 | * | * |
GBP Retail Pooled Class | IE0005YBSZK3 | * | * | * | * | * | * | * | * | * | * |
GBP Super Institutional A Class | IE0000GJ0I25 | * | * | * | * | * | * | * | * | * | * |
GBP Super Institutional A Pooled Class | IE00099I7XI3 | * | 19/11/2024 | 100.12 | * | -0.06 | -1.46 | -0.49 | -2.10 | * | * |
GBP Super Institutional Class | IE000OV5IPD9 | * | * | * | * | * | * | * | * | * | * |
GBP Super Institutional Pooled Class | IE000HBC0NF7 | * | 19/11/2024 | 100.07 | * | -0.08 | -1.48 | -0.52 | -2.14 | * | * |
JPY Founder Class | IE000DG1RDQ9 | * | * | * | * | * | * | * | * | * | * |
JPY Founder Pooled Class | IE000T3U30X9 | * | * | * | * | * | * | * | * | * | * |
JPY Institutional Class | IE000N24LYZ7 | * | * | * | * | * | * | * | * | * | * |
JPY Institutional Pooled Class | IE000XSMSMM9 | * | * | * | * | * | * | * | * | * | * |
JPY Retail Pooled Class | IE000H37SEP9 | * | * | * | * | * | * | * | * | * | * |
JPY Super Institutional A Class | IE00008OIVC9 | * | * | * | * | * | * | * | * | * | * |
JPY Super Institutional A Pooled Class | IE0000Y027B4 | * | * | * | * | * | * | * | * | * | * |
JPY Super Institutional Class | IE000CR0JCJ3 | * | * | * | * | * | * | * | * | * | * |
JPY Super Institutional Pooled Class | IE00017976V0 | * | * | * | * | * | * | * | * | * | * |
USD Founder Class | IE000XA8RWL7 | * | * | * | * | * | * | * | * | * | * |
USD Founder Pooled Class | IE000KRED6R7 | * | 19/11/2024 | 101.17 | -0.38 | -0.08 | -1.49 | -0.50 | -2.27 | * | * |
USD Institutional Class | IE0000GX9H51 | * | * | * | * | * | * | * | * | * | * |
USD Institutional Pooled Class | IE000P7DL099 | * | 19/11/2024 | 100.48 | -0.82 | -0.09 | -1.53 | -0.64 | -2.54 | * | * |
USD Retail Pooled Class | IE000LPTF772 | * | * | * | * | * | * | * | * | * | * |
USD Super Institutional A Class | IE000KK0HVV9 | * | * | * | * | * | * | * | * | * | * |
USD Super Institutional A Pooled Class | IE000MX0J9U6 | * | 19/11/2024 | 100.51 | * | -0.04 | -1.36 | -0.19 | -1.74 | * | * |
USD Super Institutional Class | IE000BQVNOZ9 | * | * | * | * | * | * | * | * | * | * |
USD Super Institutional Pooled Class | IE000TYNSM05 | * | 19/11/2024 | 100.50 | * | -0.04 | -1.36 | -0.20 | -1.74 | * | * |
Chelverton Select Consumer Staples Fund
Share class | ISIN | Currency | Date | NAV | YTD Perf (%) | 1w (%) | 1m (%) | 3m (%) | 6m (%) | 1yr (%) | 3yrs (%) |
---|---|---|---|---|---|---|---|---|---|---|---|
CHF CLASS A DISTRIBUTING SHARES | IE000QFHEZT7 | * | * | * | * | * | * | * | * | * | * |
CHF CLASS F DISTRIBUTING SHARES | IE000RQAAN84 | * | * | * | * | * | * | * | * | * | * |
CHF CLASS F DISTRIBUTING SHARES | IE000RQAAN84 | * | * | * | * | * | * | * | * | * | * |
CHF CLASS I DISTRIBUTING SHARES | IE000JKO8PA9 | * | * | * | * | * | * | * | * | * | * |
CHF Class A Shares | IE00BQQFW597 | * | * | * | * | * | * | * | * | * | * |
CHF Class I Shares | IE00BQQFVX08 | * | * | * | * | * | * | * | * | * | * |
EUR CLASS A DISTRIBUTING SHARES | IE000G5MWQ43 | * | * | * | * | * | * | * | * | * | * |
EUR CLASS F DISTRIBUTING SHARES | IE000YH2IGO8 | * | * | * | * | * | * | * | * | * | * |
EUR CLASS I DISTRIBUTING SHARES | IE0007AFLGU4 | * | * | * | * | * | * | * | * | * | * |
EUR Class A Shares | IE00BQQFW266 | * | 19/11/2024 | 103.83 | * | -0.15 | * | * | * | * | * |
EUR Class F Shares | IE00BZ163469 | * | * | * | * | * | * | * | * | * | * |
EUR Class I Shares | IE00BQQFVT61 | * | * | * | * | * | * | * | * | * | * |
GBP CLASS A DISTRIBUTING SHARES | IE0007OOSZA4 | * | * | * | * | * | * | * | * | * | * |
GBP CLASS F DISTRIBUTING SHARES | IE000RJ1XQL1 | * | * | * | * | * | * | * | * | * | * |
GBP CLASS I DISTRIBUTING SHARES | IE000T38QOS9 | * | * | * | * | * | * | * | * | * | * |
GBP Class A Shares | IE00BQQFW373 | * | 19/11/2024 | 146.24 | * | 0.41 | * | * | * | * | * |
GBP Class F Shares | IE00BZ163576 | * | 19/11/2024 | 110.85 | * | 0.41 | * | * | * | * | * |
GBP Class I Shares | IE00BQQFVV83 | * | * | * | * | * | * | * | * | * | * |
IE0002H13SP4 | IE0002H13SP4 | * | * | * | * | * | * | * | * | * | * |
IE0007AFLGU4 | IE0007AFLGU4 | * | * | * | * | * | * | * | * | * | * |
IE0007OOSZA4 | IE0007OOSZA4 | * | * | * | * | * | * | * | * | * | * |
IE000G5MWQ43 | IE000G5MWQ43 | * | * | * | * | * | * | * | * | * | * |
IE000JKO8PA9 | IE000JKO8PA9 | * | * | * | * | * | * | * | * | * | * |
IE000QFHEZT7 | IE000QFHEZT7 | * | * | * | * | * | * | * | * | * | * |
IE000RJ1XQL1 | IE000RJ1XQL1 | * | * | * | * | * | * | * | * | * | * |
IE000RQAAN84 | IE000RQAAN84 | * | * | * | * | * | * | * | * | * | * |
IE000T38QOS9 | IE000T38QOS9 | * | * | * | * | * | * | * | * | * | * |
IE000UH2DC46 | IE000UH2DC46 | * | * | * | * | * | * | * | * | * | * |
IE000YH2IGO8 | IE000YH2IGO8 | * | * | * | * | * | * | * | * | * | * |
IE000YO2Y6H2 | IE000YO2Y6H2 | * | * | * | * | * | * | * | * | * | * |
USD CLASS A DISTRIBUTING SHARES | IE000YO2Y6H2 | * | * | * | * | * | * | * | * | * | * |
USD CLASS F DISTRIBUTING SHARES | IE000UH2DC46 | * | * | * | * | * | * | * | * | * | * |
USD CLASS I DISTRIBUTING SHARES | IE0002H13SP4 | * | * | * | * | * | * | * | * | * | * |
USD Class A Shares | IE00BQQFW480 | * | 19/11/2024 | 105.41 | * | -0.37 | * | * | * | * | * |
USD Class I Shares | IE00BQQFVW90 | * | * | * | * | * | * | * | * | * | * |
Collidr Adaptive Global Equity UCITS Fund
Share class | ISIN | Currency | Date | NAV | YTD Perf (%) | 1w (%) | 1m (%) | 3m (%) | 6m (%) | 1yr (%) | 3yrs (%) |
---|---|---|---|---|---|---|---|---|---|---|---|
AUD C Class Shares | IE00BDTYLK04 | AUD | * | * | * | * | * | * | * | * | * |
AUD Class A Shares | IE00BDTYLH74 | AUD | * | * | * | * | * | * | * | * | * |
AUD Class B Shares | IE00BDTYLJ98 | AUD | * | * | * | * | * | * | * | * | * |
CHF C Class Shares | IE00BZ1NRY56 | CHF | * | * | * | * | * | * | * | * | * |
CHF Class A Shares | IE00BZ1NRR89 | CHF | * | * | * | * | * | * | * | * | * |
CHF Class B Shares | IE00BZ1NRT04 | CHF | * | * | * | * | * | * | * | * | * |
EUR C Class Shares | IE00BZ1NRW33 | EUR | * | * | * | * | * | * | * | * | * |
EUR Class A Shares | IE00BZ1NRP65 | EUR | * | * | * | * | * | * | * | * | * |
EUR Class B Shares | IE00BZ1NS209 | EUR | * | * | * | * | * | * | * | * | * |
GBP C Class Shares | IE00BZ1NRX40 | GBP | * | * | * | * | * | * | * | * | * |
GBP Class A Shares | IE00BZ1NRQ72 | GBP | 19/11/2024 | 114.09 | 8.78 | -0.85 | -2.32 | -0.30 | 0.94 | * | 1.33 |
GBP Class B Shares | IE00BZ1NS316 | GBP | 19/11/2024 | 115.83 | 9.07 | -0.84 | -2.30 | -0.22 | 1.09 | * | 2.25 |
USD C Class Shares | IE00BZ1NRZ63 | USD | * | * | * | * | * | * | * | * | * |
USD Class A Shares | IE00BZ1NRS96 | USD | * | * | * | * | * | * | * | * | * |
USD Class B Shares | IE00BZ1NRV26 | USD | * | * | * | * | * | * | * | * | * |
Cooper Creek Partners North America Long Short Equity UCITS Fund
Share class | ISIN | Currency | Date | NAV | YTD Perf (%) | 1w (%) | 1m (%) | 3m (%) | 6m (%) | 1yr (%) | 3yrs (%) |
---|---|---|---|---|---|---|---|---|---|---|---|
CHF Institutional Class A Pooled Shares | IE00BNHQBX11 | CHF | 19/11/2024 | 119.66 | 8.45 | 0.09 | 1.43 | 1.08 | 3.44 | * | * |
CHF Institutional Class A Shares | IE00BNHQBS67 | CHF | * | * | * | * | * | * | * | * | * |
CHF Institutional Class Pooled Shares | IE00BG08NN92 | CHF | 19/11/2024 | 116.22 | 7.70 | 0.08 | 1.38 | 0.83 | 3.09 | * | * |
CHF Institutional Class Shares | IE00BG08P550 | CHF | * | * | * | * | * | * | * | * | * |
CHF Institutional Founder Class Pooled Shares | IE00BG08P113 | CHF | * | * | * | * | * | * | * | * | * |
CHF Institutional Founder Class Shares | IE00BG08NX90 | CHF | * | * | * | * | * | * | * | * | * |
CHF Retail Class Pooled Shares | IE00BG08NS48 | CHF | 19/11/2024 | 121.41 | 7.37 | 0.07 | 1.42 | 0.74 | 2.93 | * | * |
EUR Institutional Class A Pooled Shares | IE00BNHQBT74 | EUR | 19/11/2024 | 133.77 | 10.16 | 0.14 | 1.63 | 1.67 | 4.61 | * | * |
EUR Institutional Class A Shares | IE00BNHQBP37 | EUR | * | * | * | * | * | * | * | * | * |
EUR Institutional Class Pooled Shares | IE00BG08P667 | EUR | 19/11/2024 | 184.64 | 9.72 | 0.13 | 1.56 | 1.48 | 4.34 | * | 60.72 |
EUR Institutional Class Shares | IE00BG08P220 | EUR | * | * | * | * | * | * | * | * | * |
EUR Institutional Founder Class A Pooled Shares | IE00BMXMV251 | EUR | * | * | * | * | * | * | * | * | * |
EUR Institutional Founder Class B Pooled | IE000Z7YVYB7 | EUR | 19/11/2024 | 133.06 | 11.07 | 0.15 | 1.75 | 1.78 | 4.99 | * | * |
EUR Institutional Founder Class C Pooled | IE000PG3ZH79 | EUR | 19/11/2024 | 122.43 | 11.08 | 0.15 | 1.75 | 1.79 | 5.00 | * | * |
EUR Institutional Founder Class Pooled Shares | IE00BG08NY08 | EUR | 19/11/2024 | 203.55 | 10.31 | 0.14 | 1.64 | 1.67 | 4.64 | * | 63.31 |
EUR Institutional Founder Class Shares | IE00BG08NT54 | EUR | * | * | * | * | * | * | * | * | * |
EUR Retail Class Pooled Shares | IE00BG08NP17 | EUR | 19/11/2024 | 181.82 | 9.37 | 0.12 | 1.53 | 1.40 | 4.13 | * | 59.08 |
GBP Institutional Class A Pooled Shares | IE00BNHQBV96 | GBP | 19/11/2024 | 140.63 | 11.21 | 0.18 | 1.75 | 1.90 | 5.13 | * | * |
GBP Institutional Class A Shares | IE00BNHQBQ44 | GBP | * | * | * | * | * | * | * | * | * |
GBP Institutional Class Pooled Shares | IE00BG08P774 | GBP | 19/11/2024 | 138.80 | 10.82 | 0.16 | 1.65 | 1.80 | 4.94 | * | * |
GBP Institutional Class Shares | IE00BG08P337 | GBP | * | * | * | * | * | * | * | * | * |
GBP Institutional Founder Class A Pooled Shares | IE00BFXZWF58 | GBP | 19/11/2024 | 218.33 | 12.21 | 0.19 | 1.84 | 2.08 | 5.59 | * | 75.68 |
GBP Institutional Founder Class Pooled Shares | IE00BG08NZ15 | GBP | 19/11/2024 | 214.87 | 11.39 | 0.18 | 1.76 | 1.93 | 5.22 | * | 69.80 |
GBP Institutional Founder Class Shares | IE00BG08NV76 | GBP | * | * | * | * | * | * | * | * | * |
GBP Retail Class Pooled Shares | IE00BG08NQ24 | GBP | 19/11/2024 | 114.72 | 10.72 | 0.16 | 1.65 | 1.66 | 4.72 | * | * |
USD Institutional Class A Pooled Shares | IE00BNHQBW04 | USD | 19/11/2024 | 115.33 | 11.36 | 0.16 | 1.67 | 1.83 | 5.18 | * | * |
USD Institutional Class A Shares | IE00BNHQBR50 | USD | * | * | * | * | * | * | * | * | * |
USD Institutional Class Pooled Shares | IE00BG08NM85 | USD | 19/11/2024 | 203.74 | 10.92 | 0.15 | 1.64 | 1.73 | 4.97 | * | 67.41 |
USD Institutional Class Shares | IE00BG08P444 | USD | 19/11/2024 | 206.95 | 10.95 | 0.14 | 1.64 | 1.73 | 4.97 | * | 67.79 |
USD Institutional Founder Class Pooled Shares | IE00BG08P006 | USD | * | * | * | * | * | * | * | * | * |
USD Institutional Founder Class Shares | IE00BG08NW83 | USD | * | * | * | * | * | * | * | * | * |
USD Retail Class Pooled Shares | IE00BG08NR31 | USD | 19/11/2024 | 132.44 | 10.55 | 0.14 | 1.60 | 1.62 | 4.75 | * | * |
Crabel Advanced Trend UCITS Fund
Share class | ISIN | Currency | Date | NAV | YTD Perf (%) | 1w (%) | 1m (%) | 3m (%) | 6m (%) | 1yr (%) | 3yrs (%) |
---|---|---|---|---|---|---|---|---|---|---|---|
CHF Founder Class Shares | IE00BF2X0452 | CHF | * | * | * | * | * | * | * | * | * |
CHF Institutional Class A Pooled Shares | IE00BG1V0Z88 | CHF | * | * | * | * | * | * | * | * | * |
CHF Institutional Class Shares | IE00BF2X0890 | CHF | * | * | * | * | * | * | * | * | * |
CHF Retail Class Shares | IE00BKPF8Z04 | CHF | * | * | * | * | * | * | * | * | * |
EUR Founder Class Shares | IE00BF2X0346 | EUR | 19/11/2024 | 111.91 | -2.58 | -0.36 | -0.07 | -1.99 | -14.05 | * | 11.04 |
EUR Institutional Class A Pooled Shares | IE00BG1V0Y71 | EUR | * | * | * | * | * | * | * | * | * |
EUR Institutional Class Shares | IE00BF2X0783 | EUR | 19/11/2024 | 130.97 | -2.99 | -0.37 | -0.10 | -2.10 | -14.25 | * | 3.77 |
EUR Retail Class Shares | IE00BKPF9028 | EUR | * | * | * | * | * | * | * | * | * |
GBP Founder Class Shares | IE00BF2X0676 | GBP | 19/11/2024 | 88.44 | * | -0.34 | 0.05 | -1.70 | * | * | * |
GBP Institutional Class A Pooled Shares | IE00BG1V1006 | GBP | * | * | * | * | * | * | * | * | * |
GBP Institutional Class Shares | IE00BF2X0B24 | GBP | 19/11/2024 | 111.94 | 15.03 | -0.35 | * | * | * | * | * |
GBP Retail Class Shares | IE00BKPF9135 | GBP | * | * | * | * | * | * | * | * | * |
USD Founder Class Shares | IE00BF2X0569 | USD | 19/11/2024 | 139.64 | -1.24 | -0.34 | 0.03 | -1.53 | -13.34 | * | 9.99 |
USD Institutional Class A Pooled Shares | IE00BG1V1113 | USD | * | * | * | * | * | * | * | * | * |
USD Institutional Class Shares | IE00BF2X0908 | USD | 19/11/2024 | 127.09 | -1.67 | -0.35 | -0.01 | -1.65 | -13.56 | * | 8.36 |
USD Retail Class Shares | IE00BKPF9242 | USD | * | * | * | * | * | * | * | * | * |
Crabel Gemini UCITS Fund
Share class | ISIN | Currency | Date | NAV | YTD Perf (%) | 1w (%) | 1m (%) | 3m (%) | 6m (%) | 1yr (%) | 3yrs (%) |
---|---|---|---|---|---|---|---|---|---|---|---|
CHF Founder A Class Shares | IE00BH43NS28 | CHF | * | * | * | * | * | * | * | * | * |
CHF Founder A Pooled Class Shares | IE00BG1TTW27 | CHF | 19/11/2024 | 107.94 | -0.93 | -1.49 | -1.41 | -0.03 | -2.83 | * | -2.84 |
CHF Founder B Class Shares | IE00BH43NX70 | CHF | * | * | * | * | * | * | * | * | * |
CHF Founder Class Shares | IE00BF2X9602 | CHF | 19/11/2024 | 103.73 | -2.10 | -1.51 | -1.52 | -0.35 | -3.51 | * | -6.29 |
CHF Institutional A Class Shares | IE00BKPFD444 | CHF | * | * | * | * | * | * | * | * | * |
CHF Institutional A Pooled Class Shares | IE00BKPFD881 | CHF | 19/11/2024 | 95.22 | -1.26 | -1.19 | -1.13 | -0.04 | -2.38 | * | * |
CHF Institutional B Class Shares | IE00BKPFDD35 | CHF | * | * | * | * | * | * | * | * | * |
CHF Institutional Class Shares | IE00BF2X9B58 | CHF | 19/11/2024 | 98.44 | -2.69 | -1.53 | -1.59 | -0.54 | -3.81 | * | -8.24 |
CHF Retail Class Shares | IE00BKPFDJ96 | CHF | * | * | * | * | * | * | * | * | * |
EUR Founder A Class Shares | IE00BH43NR11 | EUR | 19/11/2024 | 107.80 | 1.13 | -1.15 | -0.94 | 0.57 | -1.21 | * | 1.73 |
EUR Founder A Pooled Class Shares | IE00BG1TTV10 | EUR | 19/11/2024 | 113.96 | 1.13 | -1.15 | -0.95 | 0.56 | -1.22 | * | 1.68 |
EUR Founder B Class Shares | IE00BH43NW63 | EUR | * | * | * | * | * | * | * | * | * |
EUR Founder Class Shares | IE00BF2X8Z28 | EUR | 19/11/2024 | 113.36 | 0.32 | -1.46 | -1.32 | 0.33 | -2.20 | * | -1.61 |
EUR Institutional A Class Shares | IE00BKPFD337 | EUR | * | * | * | * | * | * | * | * | * |
EUR Institutional A Pooled Class Shares | IE00BKPFD774 | EUR | 19/11/2024 | 103.49 | 0.95 | -1.16 | -0.97 | 0.50 | -1.35 | * | 0.95 |
EUR Institutional B Class Shares | IE00BKPFDC28 | EUR | 19/11/2024 | 96.22 | -0.30 | -1.48 | -1.36 | 0.21 | -2.45 | * | -3.20 |
EUR Institutional Class Shares | IE00BF2X9933 | EUR | 19/11/2024 | 106.69 | -0.45 | -1.47 | -1.38 | 0.14 | -2.50 | * | -4.12 |
EUR Retail Class Shares | IE00BKPFDH72 | EUR | 19/11/2024 | 95.92 | -0.98 | -1.48 | -1.42 | 0.01 | -2.83 | * | -5.54 |
GBP Founder A Class Shares | IE00BH43NV56 | GBP | * | * | * | * | * | * | * | * | * |
GBP Founder A Pooled Class Shares | IE00BG1TTY41 | GBP | 19/11/2024 | 123.49 | 2.01 | -1.13 | -0.85 | 0.83 | -0.67 | * | 5.11 |
GBP Founder B Class Distributing Shares | IE000WWLOAW8 | GBP | * | * | * | * | * | * | * | * | * |
GBP Founder B Class Shares | IE00BH43NQ04 | GBP | * | * | * | * | * | * | * | * | * |
GBP Founder Class Shares | IE00BF2X9826 | GBP | 19/11/2024 | 118.58 | 1.34 | -1.44 | -1.20 | 0.66 | -1.52 | * | 2.41 |
GBP Institutional A Class Distributing Shares | IE0009LDI773 | GBP | * | * | * | * | * | * | * | * | * |
GBP Institutional A Class Shares | IE00BKPFD220 | GBP | * | * | * | * | * | * | * | * | * |
GBP Institutional A Pooled Class Distributing Shares | IE000PW96V61 | GBP | 19/11/2024 | 100.85 | 1.46 | -1.13 | -0.86 | 0.78 | -1.14 | * | * |
GBP Institutional A Pooled Class Shares | IE00BKPFD667 | GBP | 19/11/2024 | 105.97 | 1.82 | -1.13 | -0.86 | 0.77 | -0.79 | * | 4.44 |
GBP Institutional B Class Distributing Shares | IE0004KAY1N4 | GBP | * | * | * | * | * | * | * | * | * |
GBP Institutional B Class Shares | IE00BKPFDB11 | GBP | 19/11/2024 | 101.31 | 0.78 | -1.44 | -1.24 | 0.54 | -1.87 | * | 0.72 |
GBP Institutional Class Shares | IE00BF2X9D72 | GBP | 19/11/2024 | 111.61 | 0.82 | -1.46 | -1.27 | 0.46 | -1.91 | * | 0.19 |
GBP Retail Class Shares | IE00BKPFDG65 | GBP | * | * | * | * | * | * | * | * | * |
JPY Founder A Class Shares | IE00BMGNJ655 | JPY | * | * | * | * | * | * | * | * | * |
JPY Founder A Pooled Class Shares | IE00BMGNJ879 | JPY | * | * | * | * | * | * | * | * | * |
JPY Founder B Class Shares | IE00BMGNJF44 | JPY | * | * | * | * | * | * | * | * | * |
JPY Founder Class Shares | IE00BMHKVC50 | JPY | * | * | * | * | * | * | * | * | * |
JPY Institutional A Class Shares | IE00BMGNJ986 | JPY | * | * | * | * | * | * | * | * | * |
JPY Institutional A Pooled Class Shares | IE00BMGNJB06 | JPY | * | * | * | * | * | * | * | * | * |
JPY Institutional B Class Shares | IE00BMGNJC13 | JPY | * | * | * | * | * | * | * | * | * |
JPY Institutional Class Shares | IE00BMGNJ762 | JPY | * | * | * | * | * | * | * | * | * |
JPY Retail Class Shares | IE00BMGNJD20 | JPY | * | * | * | * | * | * | * | * | * |
USD Founder A Class Shares | IE00BH43NT35 | USD | * | * | * | * | * | * | * | * | * |
USD Founder A Pooled Class Shares | IE00BG1TTX34 | USD | 19/11/2024 | 127.53 | 2.21 | -1.14 | -0.86 | 0.93 | -0.48 | * | 6.32 |
USD Founder B Class Shares | IE00BH43NP96 | USD | 19/11/2024 | 109.75 | 1.50 | -1.45 | -1.22 | 0.76 | -1.38 | * | 3.27 |
USD Founder C Class Shares | IE00BF1B7611 | USD | * | * | * | * | * | * | * | * | * |
USD Founder Class Shares | IE00BF2X9719 | USD | 19/11/2024 | 131.09 | 1.74 | -1.44 | -1.20 | 0.83 | -1.26 | * | 4.05 |
USD Institutional A Class Shares | IE00BKPFD113 | USD | * | * | * | * | * | * | * | * | * |
USD Institutional A Pooled Class Shares | IE00BKPFD550 | USD | 19/11/2024 | 107.00 | 1.82 | -1.14 | -0.88 | 0.88 | -0.89 | * | 5.19 |
USD Institutional B Class Shares | IE00BKPFD998 | USD | * | * | * | * | * | * | * | * | * |
USD Institutional Class Shares | IE00BF2X9C65 | USD | 19/11/2024 | 116.19 | 1.06 | -1.46 | -1.26 | 0.63 | -1.64 | * | 1.73 |
USD Retail Class Shares | IE00BKPFDF58 | USD | 19/11/2024 | 100.77 | 0.60 | -1.47 | -1.31 | 0.50 | -1.89 | * | 0.21 |
Descartes Alternative Credit UCITS Fund
Share class | ISIN | Currency | Date | NAV | YTD Perf (%) | 1w (%) | 1m (%) | 3m (%) | 6m (%) | 1yr (%) | 3yrs (%) |
---|---|---|---|---|---|---|---|---|---|---|---|
CHF Institutional Class A Distributing Pooled Shares | IE0009CACHV2 | * | * | * | * | * | * | * | * | * | * |
CHF Institutional Class A Pooled Shares | IE00BJCWT437 | CHF | 19/11/2024 | 126.27 | 9.12 | 0.08 | 0.69 | 1.85 | 3.64 | * | 14.06 |
CHF Institutional Class B Pooled Shares | IE00BJCWTD26 | CHF | 19/11/2024 | 126.14 | 8.20 | 0.07 | 0.66 | 1.77 | 3.49 | * | 13.40 |
CHF Institutional Class C Shares | IE00BJCWT098 | CHF | 19/11/2024 | 127.54 | 8.93 | 0.08 | 0.68 | 1.82 | 3.61 | * | 14.80 |
CHF Institutional Class D Pooled Shares | IE00BKDZ9481 | CHF | * | * | * | * | * | * | * | * | * |
CHF Institutional Founder Class Shares | IE00BJCWSW40 | CHF | 19/11/2024 | 133.66 | 10.29 | 0.09 | 0.78 | 2.09 | 4.13 | * | 16.50 |
CHF Retail Class Distributing Pooled Shares | IE00BJ7PX896 | CHF | * | * | * | * | * | * | * | * | * |
CHF Retail Class Pooled Shares | IE00BJCWTJ87 | CHF | 19/11/2024 | 101.65 | * | 0.06 | 0.63 | 1.68 | * | * | * |
EUR Institutional Class A Distributing Pooled Shares | IE00BJ7PX011 | EUR | 19/11/2024 | 101.07 | 4.66 | 0.13 | 0.87 | 2.47 | 1.93 | * | -1.21 |
EUR Institutional Class A Pooled Shares | IE00BJCWT213 | EUR | 19/11/2024 | 134.73 | 11.37 | 0.13 | 0.87 | 2.47 | 4.95 | * | 19.46 |
EUR Institutional Class B Distributing Pooled Shares | IE00BJ7PX342 | EUR | 19/11/2024 | 100.62 | 4.45 | 0.13 | 0.85 | 2.41 | 1.93 | * | -1.20 |
EUR Institutional Class B Pooled Shares | IE00BJCWTB02 | EUR | 19/11/2024 | 131.95 | 11.14 | 0.12 | 0.84 | 2.41 | 4.83 | * | 18.13 |
EUR Institutional Class C Shares | IE00BJCWSY63 | EUR | 19/11/2024 | 135.29 | 11.05 | 0.12 | 0.85 | 2.41 | 4.85 | * | 19.63 |
EUR Institutional Class D Pooled Shares | IE00BKDZ9374 | EUR | 19/11/2024 | 129.05 | 10.42 | 0.13 | 0.86 | 2.43 | 4.88 | * | 19.04 |
EUR Institutional Class E Shares | IE00BJCWTL00 | EUR | * | * | * | * | * | * | * | * | * |
EUR Institutional Class F Shares | IE00BMBVD397 | EUR | * | * | * | * | * | * | * | * | * |
EUR Institutional Founder Class Distributing Shares | IE00BJ7PWX72 | EUR | 19/11/2024 | 102.40 | 3.83 | 0.15 | 0.98 | 2.77 | 1.63 | * | -1.05 |
EUR Institutional Founder Class Shares | IE00BJCWST11 | EUR | 19/11/2024 | 141.93 | 12.80 | 0.14 | 0.97 | 2.77 | 5.57 | * | 22.24 |
EUR Retail Class Distributing Pooled Shares | IE00BJ7PX672 | EUR | 19/11/2024 | 102.30 | 4.68 | 0.11 | 0.80 | 2.29 | 1.91 | * | -1.27 |
EUR Retail Class Pooled Shares | IE00BJCWTG56 | EUR | 19/11/2024 | 121.44 | 10.70 | 0.11 | 0.80 | 2.29 | 4.59 | * | 17.18 |
GBP Institutional Class A Distributing Pooled Shares | IE00BJ7PX128 | GBP | * | * | * | * | * | * | * | * | * |
GBP Institutional Class A Pooled Shares | IE00BJCWT320 | GBP | 19/11/2024 | 138.51 | 12.48 | 0.16 | 0.98 | 2.75 | 5.57 | * | 23.63 |
GBP Institutional Class B Distributing Pooled Shares | IE00BJ7PX458 | GBP | * | * | * | * | * | * | * | * | * |
GBP Institutional Class B Pooled Shares | IE00BJCWTC19 | GBP | * | * | * | * | * | * | * | * | * |
GBP Institutional Class C Shares | IE00BJCWSZ70 | GBP | 19/11/2024 | 139.92 | 12.13 | 0.16 | 0.96 | 2.70 | 5.46 | * | 24.01 |
GBP Institutional Founder Class Distributing Shares | IE00BJ7PWY89 | GBP | 19/11/2024 | 108.75 | 5.11 | 0.17 | 1.09 | 3.13 | 2.40 | * | 3.33 |
GBP Institutional Founder Class Shares | IE00BJCWSV33 | GBP | * | * | * | * | * | * | * | * | * |
GBP Retail Class Distributing Pooled Shares | IE00BJ7PX789 | GBP | * | * | * | * | * | * | * | * | * |
GBP Retail Class Pooled Shares | IE00BJCWTH63 | GBP | * | * | * | * | * | * | * | * | * |
USD Institutional Class A Distributing Pooled Shares | IE00BJ7PX235 | USD | 19/11/2024 | 111.38 | 6.00 | 0.15 | 0.93 | 2.75 | 2.71 | * | 4.30 |
USD Institutional Class A Pooled Shares | IE00BJCWT544 | USD | 19/11/2024 | 145.21 | 12.65 | 0.15 | 0.93 | 2.75 | 5.65 | * | 25.06 |
USD Institutional Class B Distributing Pooled Shares | IE00BJ7PX565 | USD | 19/11/2024 | 116.57 | 5.65 | 0.14 | 0.90 | 2.69 | 2.70 | * | * |
USD Institutional Class B Pooled Shares | IE00BJCWTF40 | USD | 19/11/2024 | 143.54 | 12.41 | 0.15 | 0.91 | 2.69 | 5.53 | * | 24.29 |
USD Institutional Class C Shares | IE00BJCWT106 | USD | 19/11/2024 | 142.73 | 12.25 | 0.15 | 0.90 | 2.67 | 5.51 | * | 24.86 |
USD Institutional Class D Pooled Shares | IE00BKDZ9598 | USD | 19/11/2024 | 139.99 | 12.51 | 0.15 | 0.91 | 2.71 | 5.57 | * | 24.75 |
USD Institutional Class F Shares | IE00BMBVD405 | USD | * | * | * | * | * | * | * | * | * |
USD Institutional Founder Class Distributing Shares | IE00BJ7PWZ96 | USD | * | * | * | * | * | * | * | * | * |
USD Institutional Founder Class Shares | IE00BJCWSX56 | USD | 19/11/2024 | 156.40 | 14.28 | 0.17 | 1.07 | 3.13 | 6.38 | * | 28.55 |
USD Retail Class Distributing Pooled Shares | IE00BJ7PX904 | USD | * | * | * | * | * | * | * | * | * |
USD Retail Class Pooled Shares | IE00BJCWTK92 | USD | 19/11/2024 | 138.10 | 11.97 | 0.13 | 0.86 | 2.57 | 5.29 | * | 22.60 |
DUNN WMA Institutional UCITS Fund
Share class | ISIN | Currency | Date | NAV | YTD Perf (%) | 1w (%) | 1m (%) | 3m (%) | 6m (%) | 1yr (%) | 3yrs (%) |
---|---|---|---|---|---|---|---|---|---|---|---|
AUD Institutional Class B Pooled | IE0004ATHMY0 | * | 19/11/2024 | 100.01 | * | 0.20 | -1.46 | -2.27 | -5.44 | * | * |
CHF Institutional Class A Pooled Shares | IE00BYZJ5J33 | CHF | 19/11/2024 | 120.22 | 4.51 | 0.13 | -1.78 | -3.33 | -7.00 | * | 15.49 |
CHF Institutional Class A Shares | IE00B6R2TG99 | CHF | 19/11/2024 | 117.93 | 4.62 | 0.13 | -1.77 | -3.33 | -6.97 | * | 15.67 |
CHF Institutional Class B Pooled Shares | IE00BWVFLL58 | CHF | * | * | * | * | * | * | * | * | * |
CHF Institutional Class B Shares | IE00B6R2TH07 | CHF | * | * | * | * | * | * | * | * | * |
CHF Institutional Class D Pooled Shares | IE00BD5JQQ07 | CHF | * | * | * | * | * | * | * | * | * |
CHF Institutional Class D Shares | IE00BD5JQV59 | CHF | * | * | * | * | * | * | * | * | * |
CHF Retail Pooled Shares | IE00BWVFLM65 | CHF | 19/11/2024 | 95.08 | 3.59 | 0.12 | -1.83 | -3.50 | -7.82 | * | 13.46 |
CHF Retail Shares | IE00B6R2TJ21 | CHF | 19/11/2024 | 176.56 | 3.90 | 0.11 | -1.84 | -3.54 | -7.55 | * | 14.71 |
EUR Institutional Class A Pooled Shares | IE00BYZJ5G02 | EUR | 19/11/2024 | 123.39 | 6.20 | 0.17 | -1.53 | -2.37 | -5.48 | * | 18.66 |
EUR Institutional Class A Shares | IE00B6R2T693 | EUR | 19/11/2024 | 190.58 | 6.28 | 0.18 | -1.38 | -2.21 | -5.81 | * | 19.79 |
EUR Institutional Class B Pooled Shares | IE00BWVFLJ37 | EUR | 19/11/2024 | 125.76 | 6.64 | 0.18 | -1.38 | -2.27 | -5.57 | * | 21.54 |
EUR Institutional Class B Shares | IE00B6R2T701 | EUR | * | * | * | * | * | * | * | * | * |
EUR Institutional Class D Pooled Shares | IE00BD5JQS21 | EUR | 19/11/2024 | 123.85 | 6.68 | 0.17 | -1.45 | -2.28 | -5.37 | * | 20.12 |
EUR Institutional Class D Shares | IE00BD5JR347 | EUR | * | * | * | * | * | * | * | * | * |
EUR Retail Pooled Shares | IE00BWVFLK42 | EUR | 19/11/2024 | 115.25 | 5.46 | 0.15 | -1.65 | -2.90 | -6.24 | * | 17.04 |
EUR Retail Shares | IE00B6R2T818 | EUR | 19/11/2024 | 156.42 | 5.91 | 0.16 | -1.65 | -2.62 | -5.87 | * | 18.40 |
GBP Institutional Class A Pooled Distributing | IE000YO10101 | * | * | * | * | * | * | * | * | * | * |
GBP Institutional Class A Pooled Shares | IE00BYZJ5H19 | GBP | 19/11/2024 | 134.06 | 7.13 | 0.15 | -1.09 | -1.77 | -4.64 | * | 24.64 |
GBP Institutional Class A Shares | IE00B6R2T925 | GBP | 19/11/2024 | 146.11 | 7.28 | 0.15 | -1.10 | -1.77 | -4.66 | * | 25.14 |
GBP Institutional Class B Pooled Distributing | IE000LT11154 | * | 19/11/2024 | 94.49 | 4.86 | 0.16 | -1.34 | -2.49 | -5.60 | * | * |
GBP Institutional Class B Pooled Shares | IE00B6R2TC51 | GBP | 19/11/2024 | 135.33 | 7.66 | 0.20 | -1.25 | -1.96 | -5.02 | * | 26.57 |
GBP Institutional Class B Shares | IE00B6R2TB45 | GBP | 19/11/2024 | 184.83 | 7.25 | 0.16 | -1.20 | -1.90 | -5.17 | * | 27.12 |
GBP Institutional Class D Pooled Shares | IE00BD5JQR14 | GBP | 19/11/2024 | 141.13 | 7.27 | 0.16 | -1.08 | -1.74 | -4.62 | * | 25.25 |
GBP Institutional Class D Shares | IE00BD5JR230 | GBP | * | * | * | * | * | * | * | * | * |
GBP Retail Pooled Shares | IE00B6R2TF82 | GBP | 19/11/2024 | 119.72 | 6.46 | 0.18 | -1.56 | -2.58 | -5.60 | * | 21.28 |
GBP Retail Shares | IE00B6R2TD68 | GBP | 19/11/2024 | 139.06 | 6.95 | 0.14 | -1.15 | -1.91 | -4.91 | * | 23.00 |
SEK Institutional Class A Pooled Shares | IE00BYZJ5N78 | SEK | * | * | * | * | * | * | * | * | * |
SEK Institutional Class A Shares | IE00BYZJ5L54 | SEK | * | * | * | * | * | * | * | * | * |
SEK Institutional Class B Pooled Shares | IE00BYZJ5P92 | SEK | * | * | * | * | * | * | * | * | * |
SEK Institutional Class B Shares | IE00BYZJ5M61 | SEK | * | * | * | * | * | * | * | * | * |
SEK Institutional Class D Pooled Shares | IE00BD5JQP99 | SEK | * | * | * | * | * | * | * | * | * |
SEK Institutional Class D Shares | IE00BD5JQT38 | SEK | * | * | * | * | * | * | * | * | * |
SEK Retail Pooled Shares | IE00BYZJ5Q00 | SEK | * | * | * | * | * | * | * | * | * |
USD Institutional Class A Pooled Distributing | IE000EHMINR0 | * | * | * | * | * | * | * | * | * | * |
USD Institutional Class A Pooled Shares | IE00BYZJ5K48 | USD | 19/11/2024 | 143.55 | 7.73 | 0.15 | -1.07 | -1.64 | -4.35 | * | 25.62 |
USD Institutional Class A Shares | IE00B6R2TK36 | USD | 19/11/2024 | 205.67 | 7.56 | 0.15 | -1.07 | -1.64 | -4.35 | * | 25.83 |
USD Institutional Class B Pooled Distributing | IE0002EO8O61 | * | * | * | * | * | * | * | * | * | * |
USD Institutional Class B Pooled Shares | IE00BWVFLN72 | USD | 19/11/2024 | 148.43 | 7.18 | 0.16 | -1.14 | -1.73 | -4.60 | * | 26.61 |
USD Institutional Class B Shares | IE00B6R2TL43 | USD | 19/11/2024 | 147.85 | 7.79 | 0.16 | -1.14 | -1.73 | -4.60 | * | 27.95 |
USD Institutional Class C Shares | IE00B6R2TM59 | USD | * | * | * | * | * | * | * | * | * |
USD Institutional Class D Pooled Shares | IE00BD5JQN75 | USD | 19/11/2024 | 140.25 | 7.56 | 0.16 | -1.07 | -1.62 | -4.31 | * | 25.99 |
USD Institutional Class D Shares | IE00BG1TTZ57 | USD | * | * | * | * | * | * | * | * | * |
USD Retail Pooled Shares | IE00BWVFLP96 | USD | 19/11/2024 | 132.78 | 7.30 | 0.14 | -1.13 | -1.78 | -4.62 | * | 23.60 |
USD Retail Shares | IE00B6R2TN66 | USD | 19/11/2024 | 136.18 | 7.23 | 0.14 | -1.12 | -1.78 | -4.62 | * | 23.66 |
Invenomic US Equity Long/Short UCITS Fund
Share class | ISIN | Currency | Date | NAV | YTD Perf (%) | 1w (%) | 1m (%) | 3m (%) | 6m (%) | 1yr (%) | 3yrs (%) |
---|---|---|---|---|---|---|---|---|---|---|---|
CHF Founder A Class Shares | IE00BKFVXW06 | CHF | * | * | * | * | * | * | * | * | * |
CHF Founder B Class Shares | IE00BKFVY059 | CHF | * | * | * | * | * | * | * | * | * |
CHF Founder B Pooled Class Shares | IE00BKFVY497 | CHF | * | * | * | * | * | * | * | * | * |
CHF Founder Class Shares | IE00BKFVXM08 | CHF | * | * | * | * | * | * | * | * | * |
CHF Founder Pooled Class Shares | IE00BKFVXR52 | CHF | * | * | * | * | * | * | * | * | * |
CHF Institutional Class Shares | IE00BKFVY836 | CHF | * | * | * | * | * | * | * | * | * |
CHF Institutional Pooled Class Distributing Shares | IE0006D1AJP7 | CHF | * | * | * | * | * | * | * | * | * |
CHF Institutional Pooled Class Shares | IE00BKFVYD81 | CHF | 19/11/2024 | 108.56 | -15.74 | -0.65 | 0.31 | -3.09 | -8.24 | * | * |
CHF Retail Pooled Class Shares | IE00BKFVYJ44 | CHF | 19/11/2024 | 134.71 | -16.13 | -0.66 | 0.27 | -3.22 | -8.49 | * | 32.74 |
EUR Founder A Class Shares | IE00BKFVXT76 | EUR | * | * | * | * | * | * | * | * | * |
EUR Founder B Class Shares | IE00BKFVXY20 | EUR | * | * | * | * | * | * | * | * | * |
EUR Founder B Pooled Class Shares | IE00BKFVY273 | EUR | 19/11/2024 | 120.75 | -13.39 | -0.61 | 0.51 | -2.35 | -6.77 | * | * |
EUR Founder C Pooled Share Class | IE000QI54GR7 | EUR | 19/11/2024 | 99.70 | -13.39 | -0.61 | 0.52 | -2.35 | -6.76 | * | * |
EUR Founder Class Shares | IE00BKFVXK83 | EUR | * | * | * | * | * | * | * | * | * |
EUR Founder Pooled Class Shares | IE00BKFVXP39 | EUR | 19/11/2024 | 153.25 | -12.95 | -0.60 | 0.57 | -2.21 | -6.50 | * | 48.03 |
EUR Institutional Class Shares | IE00BKFVY612 | EUR | * | * | * | * | * | * | * | * | * |
EUR Institutional Pooled Class Distributing Shares | IE000BHVI135 | EUR | 19/11/2024 | 83.86 | * | -0.62 | 0.49 | -2.41 | -8.80 | * | * |
EUR Institutional Pooled Class Shares | IE00BKFVYB67 | EUR | 19/11/2024 | 116.54 | -13.58 | -0.61 | 0.50 | -2.41 | -6.88 | * | * |
EUR Retail Pooled Class Shares | IE00BKFVYG13 | EUR | 19/11/2024 | 139.97 | -13.97 | -0.63 | 0.45 | -2.54 | -7.12 | * | 38.76 |
GBP Founder A Class Shares | IE00BKFVXV98 | GBP | 19/11/2024 | 166.98 | -13.14 | -0.58 | 0.57 | -2.24 | -6.57 | * | 60.66 |
GBP Founder B Class Shares | IE00BKFVXZ37 | GBP | * | * | * | * | * | * | * | * | * |
GBP Founder B Pooled Class Shares | IE00BKFVY380 | GBP | * | * | * | * | * | * | * | * | * |
GBP Founder Class Shares | IE00BKFVXL90 | GBP | * | * | * | * | * | * | * | * | * |
GBP Founder Pooled Class Shares | IE00BKFVXQ46 | GBP | 19/11/2024 | 159.59 | -11.86 | -0.55 | 0.71 | -1.84 | -5.77 | * | 54.03 |
GBP Institutional Class Shares | IE00BKFVY729 | GBP | * | * | * | * | * | * | * | * | * |
GBP Institutional Pooled Class Distributing Shares | IE000J131Q30 | GBP | * | * | * | * | * | * | * | * | * |
GBP Institutional Pooled Class Shares | IE00BKFVYC74 | GBP | 19/11/2024 | 111.53 | -12.50 | -0.57 | 0.63 | -2.05 | -6.17 | * | * |
GBP Retail Pooled Class Shares | IE00BKFVYH20 | GBP | * | * | * | * | * | * | * | * | * |
USD Founder A Class Shares | IE00BKFVXS69 | USD | * | * | * | * | * | * | * | * | * |
USD Founder B Class Shares | IE00BKFVXX13 | USD | * | * | * | * | * | * | * | * | * |
USD Founder B Pooled Class Shares | IE00BKFVY166 | USD | * | * | * | * | * | * | * | * | * |
USD Founder Class Shares | IE00BKFVXJ78 | USD | * | * | * | * | * | * | * | * | * |
USD Founder Pooled Class Shares | IE00BKFVXN15 | USD | 19/11/2024 | 161.00 | -11.82 | -0.58 | 0.65 | -1.81 | -5.73 | * | 55.43 |
USD Institutional Class Shares | IE00BKFVY505 | USD | 19/11/2024 | 89.31 | -12.09 | -0.59 | 0.59 | -2.00 | -6.11 | * | * |
USD Institutional Pooled Class Distributing Shares | IE000T86RP56 | USD | 19/11/2024 | 84.38 | * | -0.60 | 0.58 | -2.01 | -8.03 | * | * |
USD Institutional Pooled Class Shares | IE00BKFVY943 | USD | 19/11/2024 | 149.00 | -12.44 | -0.59 | 0.58 | -2.01 | -6.11 | * | 47.32 |
USD Retail Pooled Class Shares | IE00BKFVYF06 | USD | 19/11/2024 | 146.12 | -12.83 | -0.61 | 0.54 | -2.13 | -6.35 | * | 45.50 |
Ironshield Credit Fund
Share class | ISIN | Currency | Date | NAV | YTD Perf (%) | 1w (%) | 1m (%) | 3m (%) | 6m (%) | 1yr (%) | 3yrs (%) |
---|---|---|---|---|---|---|---|---|---|---|---|
CHF Institutional Class A Pooled Shares | IE00BJBY7242 | CHF | 19/11/2024 | 95.79 | 1.10 | 0.03 | 0.19 | 2.46 | 4.62 | * | -8.85 |
CHF Institutional Class A Shares | IE00BJBY6Y91 | CHF | * | * | * | * | * | * | * | * | * |
CHF Institutional Class A1 Shares | IE00BKSBGJ52 | CHF | * | * | * | * | * | * | * | * | * |
CHF Retail Class Pooled Shares | IE00BJBY7K21 | CHF | * | * | * | * | * | * | * | * | * |
EUR Class M Pooled Shares | IE00BJBY7L38 | EUR | * | * | * | * | * | * | * | * | * |
EUR Class M2 | IE000RGTYL22 | EUR | 19/11/2024 | 110.09 | * | 0.10 | 0.51 | 3.54 | 6.94 | * | * |
EUR Institutional Class A Pooled Shares | IE00BJBY6Z09 | EUR | 19/11/2024 | 108.20 | 2.82 | 0.07 | 0.33 | 2.68 | 5.35 | * | -5.03 |
EUR Institutional Class A Shares | IE00BJBY6V60 | EUR | 19/11/2024 | 171.78 | 3.58 | 0.08 | 0.38 | 3.15 | 6.13 | * | -4.51 |
EUR Institutional Class A1 Shares | IE00BKSBGF15 | EUR | 19/11/2024 | 180.41 | 4.27 | 0.09 | 0.45 | 3.35 | 6.53 | * | -2.39 |
EUR Retail Class Pooled Shares | IE00BJBY7358 | EUR | 19/11/2024 | 123.41 | 2.41 | 0.06 | 0.28 | 2.42 | 5.13 | * | -7.08 |
GBP Class M Pooled Shares | IE00BJBY7M45 | GBP | * | * | * | * | * | * | * | * | * |
GBP Class M2 | IE000SYEZ4L2 | GBP | * | * | * | * | * | * | * | * | * |
GBP Institutional Class A Pooled Shares | IE00BJBY7028 | GBP | 19/11/2024 | 105.85 | 3.49 | 0.10 | 0.43 | 2.96 | 5.76 | * | * |
GBP Institutional Class A Shares | IE00BJBY6W77 | GBP | * | * | * | * | * | * | * | * | * |
GBP Institutional Class A1 Shares | IE00BKSBGG22 | GBP | * | * | * | * | * | * | * | * | * |
GBP Retail Class Pooled Shares | IE00BJBY7796 | GBP | 19/11/2024 | 100.38 | 3.27 | 0.08 | 0.36 | 2.68 | 5.67 | * | * |
USD Class M Pooled Shares | IE00BJBY7N51 | USD | 19/11/2024 | 100.49 | * | 0.13 | * | * | * | * | -30.86 |
USD Class M2 | IE0007MB8ES3 | USD | * | * | * | * | * | * | * | * | * |
USD Institutional Class A Pooled Shares | IE00BJBY7135 | USD | 19/11/2024 | 151.04 | 4.14 | 0.09 | 0.40 | 2.96 | 6.10 | * | -0.35 |
USD Institutional Class A Shares | IE00BJBY6X84 | USD | 19/11/2024 | 114.26 | 4.13 | 0.09 | 0.40 | 2.96 | 6.11 | * | 0.40 |
USD Institutional Class A1 Shares | IE00BKSBGH39 | USD | 19/11/2024 | 132.68 | 5.16 | 0.10 | 0.49 | 3.40 | 6.84 | * | 2.59 |
USD Retail Class Pooled Shares | IE00BJBY7804 | USD | 19/11/2024 | 131.92 | 3.51 | 0.07 | 0.34 | 2.67 | 5.67 | * | -1.33 |
Ironshield High Yield Alpha Fund
Share class | ISIN | Currency | Date | NAV | YTD Perf (%) | 1w (%) | 1m (%) | 3m (%) | 6m (%) | 1yr (%) | 3yrs (%) |
---|---|---|---|---|---|---|---|---|---|---|---|
CHF INSTITUTIONAL CLASS A | IE0006M5EU49 | CHF | * | * | * | * | * | * | * | * | * |
CHF INSTITUTIONAL CLASS A POOLED | IE000QRSBW82 | CHF | 19/11/2024 | 106.27 | 2.31 | 0.09 | 0.51 | 1.08 | 2.17 | * | * |
CHF INSTITUTIONAL CLASS A1 | IE000TKCKB47 | CHF | 19/11/2024 | 105.93 | 2.74 | 0.10 | 0.56 | 1.20 | 2.41 | * | * |
CHF RETAIL CLASS POOLED | IE000N3YZQ44 | CHF | * | * | * | * | * | * | * | * | * |
EUR CLASS M | IE000FHX2YC8 | EUR | * | * | * | * | * | * | * | * | * |
EUR CLASS M2 | IE0003LO7D27 | EUR | * | * | * | * | * | * | * | * | * |
EUR INSTITUTIONAL CLASS A | IE000LAGL3R0 | EUR | 19/11/2024 | 109.22 | 4.33 | 0.13 | 0.67 | 1.63 | 3.32 | * | * |
EUR INSTITUTIONAL CLASS A POOLED | IE0007M7GG41 | EUR | 19/11/2024 | 111.07 | 4.35 | 0.13 | 0.67 | 1.65 | 3.35 | * | * |
EUR INSTITUTIONAL CLASS A1 | IE000ONICL33 | EUR | 19/11/2024 | 110.29 | 4.84 | 0.14 | 0.73 | 1.81 | 3.69 | * | * |
EUR RETAIL CLASS POOLED | IE000FOWTNZ2 | EUR | * | * | * | * | * | * | * | * | * |
GBP CLASS M | IE000L508B20 | GBP | * | * | * | * | * | * | * | * | * |
GBP CLASS M2 | IE000NX8SY31 | GBP | * | * | * | * | * | * | * | * | * |
GBP INSTITUTIONAL CLASS A | IE000D7X2DZ6 | GBP | * | * | * | * | * | * | * | * | * |
GBP INSTITUTIONAL CLASS A POOLED | IE000IDLN0K4 | GBP | * | * | * | * | * | * | * | * | * |
GBP INSTITUTIONAL CLASS A1 | IE000EIG2AD7 | GBP | 19/11/2024 | 114.21 | 5.93 | 0.17 | 0.84 | 2.13 | 4.35 | * | * |
GBP INSTITUTIONAL CLASS D POOLED DISTRIBUTING | IE000C2E5XQ6 | * | * | * | * | * | * | * | * | * | * |
GBP RETAIL CLASS POOLED | IE0009HQLOR2 | GBP | * | * | * | * | * | * | * | * | * |
USD CLASS M | IE000IZZWOT0 | USD | * | * | * | * | * | * | * | * | * |
USD CLASS M2 | IE000KP72OG4 | USD | * | * | * | * | * | * | * | * | * |
USD INSTITUTIONAL CLASS A | IE000GP9EXT8 | USD | 19/11/2024 | 112.78 | 5.45 | 0.15 | 0.73 | 1.91 | 3.99 | * | * |
USD INSTITUTIONAL CLASS A POOLED | IE000X2OYZD8 | USD | 19/11/2024 | 112.78 | 5.45 | 0.15 | 0.73 | 1.91 | 3.99 | * | * |
USD INSTITUTIONAL CLASS A1 | IE000KV02NF3 | USD | 19/11/2024 | 114.13 | 6.04 | 0.17 | 0.81 | 2.11 | 4.37 | * | * |
USD RETAIL CLASS POOLED | IE000U602T91 | USD | * | * | * | * | * | * | * | * | * |
Kayne Anderson Renewable Infrastructure UCITS Fund
Share class | ISIN | Currency | Date | NAV | YTD Perf (%) | 1w (%) | 1m (%) | 3m (%) | 6m (%) | 1yr (%) | 3yrs (%) |
---|---|---|---|---|---|---|---|---|---|---|---|
CHF FOUNDER CLASS B ACCUMULATING SHARES | IE0009904H51 | CHF | * | * | * | * | * | * | * | * | * |
CHF INSTITUTIONAL CLASS ACCUMULATING (HEDGED) SHARES | IE0008WNBV76 | CHF | * | * | * | * | * | * | * | * | * |
CHF INSTITUTIONAL CLASS ACCUMULATING SHARES | IE00060OSJQ4 | CHF | * | * | * | * | * | * | * | * | * |
CHF INSTITUTIONAL CLASS DISTRIBUTING (HEDGED) SHARES | IE000FUHBHR7 | CHF | * | * | * | * | * | * | * | * | * |
CHF INSTITUTIONAL CLASS DISTRIBUTING SHARES | IE000S9AYBC2 | CHF | * | * | * | * | * | * | * | * | * |
EUR CLASS E ACCUMULATING SHARES | IE0007JQGFQ2 | EUR | * | * | * | * | * | * | * | * | * |
EUR FOUNDER CLASS A ACCUMULATING (HEDGED) SHARES | IE0005S02TO8 | EUR | * | * | * | * | * | * | * | * | * |
EUR FOUNDER CLASS A ACCUMULATING SHARES | IE000Y9LP1V3 | EUR | * | * | * | * | * | * | * | * | * |
EUR FOUNDER CLASS A DISTRIBUTING SHARES | IE000GWHISA9 | EUR | * | * | * | * | * | * | * | * | * |
EUR FOUNDER CLASS B ACCUMULATING SHARES | IE000ZYF2RE5 | EUR | * | * | * | * | * | * | * | * | * |
EUR FOUNDER CLASS B ACCUMULATING SHARES (HEDGED) | IE000DN1HP42 | EUR | * | * | * | * | * | * | * | * | * |
EUR INSTITUTIONAL CLASS ACCUMULATING (HEDGED) SHARES | IE000CXFPSN8 | EUR | * | * | * | * | * | * | * | * | * |
EUR INSTITUTIONAL CLASS ACCUMULATING SHARES | IE000T1D4RX3 | EUR | * | * | * | * | * | * | * | * | * |
EUR INSTITUTIONAL CLASS DISTRIBUTING (HEDGED) SHARES | IE000HPRLIW9 | EUR | * | * | * | * | * | * | * | * | * |
EUR INSTITUTIONAL CLASS DISTRIBUTING SHARES | IE000F3GM7R3 | EUR | * | * | * | * | * | * | * | * | * |
EUR RETAIL CLASS ACCUMULATING SHARES | IE000R8D6803 | EUR | 19/11/2024 | 84.55 | 6.09 | 1.49 | -2.51 | 6.45 | 5.76 | * | * |
GBP CLASS E ACCUMULATING SHARES | IE000CBSXZX5 | GBP | * | * | * | * | * | * | * | * | * |
GBP FOUNDER CLASS A ACCUMULATING SHARES | IE000CNHNE83 | GBP | 19/11/2024 | 95.81 | 3.59 | 2.09 | -2.08 | 4.69 | 3.88 | * | * |
GBP FOUNDER CLASS A DISTRIBUTING SHARES | IE000GFPAFJ2 | GBP | * | * | * | * | * | * | * | * | * |
GBP FOUNDER CLASS B ACCUMULATING SHARES | IE0007JV4XI4 | GBP | 19/11/2024 | 84.04 | 3.25 | 2.07 | -2.10 | 4.62 | 3.70 | * | * |
GBP FOUNDER CLASS B DISTRIBUTING SHARES | IE0002NB8BT1 | GBP | * | * | * | * | * | * | * | * | * |
GBP INSTITUTIONAL CLASS ACCUMULATING (HEDGED) SHARES | IE00015UCBK9 | GBP | * | * | * | * | * | * | * | * | * |
GBP INSTITUTIONAL CLASS ACCUMULATING SHARES | IE000PEDFBT9 | GBP | 19/11/2024 | 86.71 | 2.95 | 2.07 | -2.12 | 4.55 | 3.54 | * | * |
GBP INSTITUTIONAL CLASS DISTRIBUTING (HEDGED) SHARES | IE000FCH7ZI6 | GBP | * | * | * | * | * | * | * | * | * |
GBP INSTITUTIONAL CLASS DISTRIBUTING SHARES | IE000C6P5R31 | GBP | * | * | * | * | * | * | * | * | * |
USD CLASS E ACCUMULATING SHARES | IE000QCGWDE7 | USD | 19/11/2024 | 89.14 | 2.73 | 1.30 | -4.95 | 1.93 | 3.42 | * | * |
USD FOUNDER CLASS A ACCUMULATING SHARES | IE0005XQJFZ2 | USD | 19/11/2024 | 88.70 | 2.70 | 1.29 | -4.88 | 2.07 | 3.50 | * | * |
USD FOUNDER CLASS A DISTRIBUTING SHARES | IE000Y62LQO4 | USD | * | * | * | * | * | * | * | * | * |
USD FOUNDER CLASS B ACCUMULATING SHARES | IE000BDEWMC7 | USD | 19/11/2024 | 99.90 | 2.92 | 1.43 | -4.58 | 2.38 | 3.77 | * | * |
USD INSTITUTIONAL CLASS ACCUMULATING SHARES | IE0006WL5DA6 | USD | * | * | * | * | * | * | * | * | * |
USD INSTITUTIONAL CLASS DISTRIBUTING SHARES | IE0004M846D3 | USD | 19/11/2024 | 85.52 | 1.90 | 1.28 | -4.91 | 1.98 | 3.27 | * | * |
USD RETAIL CLASS ACCUMULATING SHARES | IE000JNVICH2 | USD | 19/11/2024 | 78.40 | 1.66 | 1.27 | -4.95 | 1.84 | 2.94 | * | * |
MontLake Q. Brands Premiere Palm-Tree Alpha Equity UCITS Fund
Share class | ISIN | Currency | Date | NAV | YTD Perf (%) | 1w (%) | 1m (%) | 3m (%) | 6m (%) | 1yr (%) | 3yrs (%) |
---|---|---|---|---|---|---|---|---|---|---|---|
CHF Alpha Class Pooled Accumulating Shares | IE00BF99SQ46 | CHF | * | * | * | * | * | * | * | * | * |
CHF Alpha Class Pooled Distributing Shares | IE00BF99SX13 | CHF | * | * | * | * | * | * | * | * | * |
CHF Core Class Pooled Accumulating Shares | IE00BF99SF31 | CHF | * | * | * | * | * | * | * | * | * |
CHF Leaders Class Pooled Accumulating Shares | IE00BF99T389 | CHF | 19/11/2024 | 101.09 | 7.25 | -1.18 | -1.09 | -0.43 | -1.33 | * | -17.15 |
EUR Alpha Class Pooled Accumulating Shares | IE00BF99SL90 | EUR | * | * | * | * | * | * | * | * | * |
EUR Alpha Class Pooled Distributing Shares | IE00BF99SS69 | EUR | * | * | * | * | * | * | * | * | * |
EUR Core Class Pooled Accumulating Shares | IE00BF99S977 | EUR | * | * | * | * | * | * | * | * | * |
EUR Core Class Pooled Distributing Shares | IE00BF99SK83 | EUR | * | * | * | * | * | * | * | * | * |
EUR Leaders Class Pooled Accumulating Shares | IE00BF99SZ37 | EUR | 19/11/2024 | 109.94 | 9.65 | -1.14 | -0.84 | 0.25 | -0.10 | * | -13.70 |
EUR Leaders Class Pooled Distributing Shares | IE00BF99T504 | EUR | * | * | * | * | * | * | * | * | * |
GBP Alpha Class Pooled Accumulating Shares | IE00BF99SM08 | GBP | * | * | * | * | * | * | * | * | * |
GBP Alpha Class Pooled Distributing Shares | IE00BF99ST76 | GBP | * | * | * | * | * | * | * | * | * |
GBP Core Class Pooled Accumulating Shares | IE00BF99SB92 | GBP | * | * | * | * | * | * | * | * | * |
GBP Core Class Pooled Distributing Shares | IE00BF99SH54 | GBP | * | * | * | * | * | * | * | * | * |
GBP Leaders Class Pooled Accumulating Shares | IE00BF99T058 | GBP | 19/11/2024 | 114.28 | 10.63 | -1.12 | -0.78 | 0.52 | 0.44 | * | -10.49 |
GBP Leaders Class Pooled Distributing Shares | IE00BF99T611 | GBP | * | * | * | * | * | * | * | * | * |
NOK Alpha Class Pooled Accumulating Shares | IE00BF99SP39 | NOK | * | * | * | * | * | * | * | * | * |
NOK Alpha Class Pooled Distributing Shares | IE00BF99SW06 | NOK | * | * | * | * | * | * | * | * | * |
NOK Core Class Pooled Accumulating Shares | IE00BF99SD17 | NOK | * | * | * | * | * | * | * | * | * |
NOK Leaders Class Pooled Accumulating Shares | IE00BF99T272 | NOK | 19/11/2024 | 1128.54 | 9.99 | -1.10 | -0.79 | 0.41 | 0.13 | * | 112754.00 |
SEK Alpha Class Pooled Accumulating Shares | IE00BF99SN15 | SEK | * | * | * | * | * | * | * | * | * |
SEK Alpha Class Pooled Distributing Shares | IE00BF99SV98 | SEK | * | * | * | * | * | * | * | * | * |
SEK Core Class Pooled Accumulating Shares | IE00BF99SC00 | SEK | 19/11/2024 | 1000.67 | 7.56 | -1.00 | -0.82 | -0.01 | -0.50 | * | 99967.00 |
SEK Leaders Class Pooled Accumulating Shares | IE00BF99T165 | SEK | 19/11/2024 | 1145.60 | 9.23 | -1.15 | -0.92 | 0.10 | -0.34 | * | 114460.00 |
USD Alpha Class Pooled Accumulating Shares | IE00BF99SR52 | USD | * | * | * | * | * | * | * | * | * |
USD Alpha Class Pooled Distributing Shares | IE00BF99SY20 | USD | * | * | * | * | * | * | * | * | * |
USD Core Class Pooled Accumulating Shares | IE00BF99SG48 | USD | * | * | * | * | * | * | * | * | * |
USD Core Class Pooled Distributing Shares | IE00BF99SJ78 | USD | * | * | * | * | * | * | * | * | * |
USD Leaders Class Pooled Accumulating Shares | IE00BF99T496 | USD | 19/11/2024 | 123.40 | 10.44 | -0.95 | -0.68 | 0.52 | 0.60 | * | -8.38 |
USD Leaders Class Pooled Distributing Shares | IE00BF99T728 | USD | * | * | * | * | * | * | * | * | * |
Mygale Event Driven UCITS Fund
Share class | ISIN | Currency | Date | NAV | YTD Perf (%) | 1w (%) | 1m (%) | 3m (%) | 6m (%) | 1yr (%) | 3yrs (%) |
---|---|---|---|---|---|---|---|---|---|---|---|
CHF Institutional Class F Shares | IE00BYRPG526 | CHF | * | * | * | * | * | * | * | * | * |
CHF Institutional Class G Pooled Shares | IE00BM98VH28 | CHF | * | * | * | * | * | * | * | * | * |
CHF Institutional Class G Shares | IE00BM98VC72 | CHF | * | * | * | * | * | * | * | * | * |
CHF Institutional Class H Pooled Shares | IE00BM98VR26 | CHF | * | * | * | * | * | * | * | * | * |
CHF Institutional Class H Shares | IE00BM98VM70 | CHF | * | * | * | * | * | * | * | * | * |
CHF Institutional Class Pooled F Shares | IE00BJJPW133 | CHF | * | * | * | * | * | * | * | * | * |
CHF Institutional Class Pooled Shares | IE00BYRPFX39 | CHF | * | * | * | * | * | * | * | * | * |
CHF Institutional Class Shares | IE00BYRPFS85 | CHF | * | * | * | * | * | * | * | * | * |
CHF Retail Class Pooled Shares | IE00BYRPG187 | CHF | * | * | * | * | * | * | * | * | * |
EUR Institutional Class B Pooled Founder Shares | IE00BF8RVQ02 | EUR | 19/11/2024 | 108.72 | 5.51 | 0.71 | -0.38 | 1.87 | 2.34 | * | 1.38 |
EUR Institutional Class F Shares | IE00BYRPG302 | EUR | 19/11/2024 | 111.75 | 5.66 | 0.75 | -0.45 | 2.01 | 2.46 | * | 0.43 |
EUR Institutional Class G Pooled Shares | IE00BM98VD89 | EUR | * | * | * | * | * | * | * | * | * |
EUR Institutional Class G Shares | IE00BM98V839 | EUR | * | * | * | * | * | * | * | * | * |
EUR Institutional Class H Pooled Shares | IE00BM98VN87 | EUR | 19/11/2024 | 100.23 | 5.06 | 0.71 | -0.38 | 1.85 | 2.30 | * | 0.66 |
EUR Institutional Class H Shares | IE00BM98VJ42 | EUR | * | * | * | * | * | * | * | * | * |
EUR Institutional Class Pooled F Shares | IE00BJJPVZ02 | EUR | * | * | * | * | * | * | * | * | * |
EUR Institutional Class Pooled Shares | IE00BYRPFV15 | EUR | 19/11/2024 | 105.39 | 5.44 | 0.74 | -0.44 | 1.96 | 2.35 | * | -0.23 |
EUR Institutional Class Shares | IE00BYRPFQ61 | EUR | 19/11/2024 | 112.55 | 5.49 | 0.79 | -0.44 | 2.01 | 2.39 | * | -0.14 |
EUR Retail Class Pooled Shares | IE00BYRPFZ52 | EUR | * | * | * | * | * | * | * | * | * |
GBP Institutional Class A Founder Shares | IE00BZ08YZ19 | GBP | 19/11/2024 | 136.53 | 7.95 | 0.93 | -0.33 | 2.77 | 3.82 | * | 7.75 |
GBP Institutional Class B Pooled Founder Shares | IE00BF8RVS26 | GBP | 19/11/2024 | 114.66 | 6.02 | 0.75 | -0.26 | 2.17 | 2.90 | * | 4.86 |
GBP Institutional Class F Shares | IE00BYRPG419 | GBP | * | * | * | * | * | * | * | * | * |
GBP Institutional Class G Pooled Shares | IE00BM98VF04 | GBP | 19/11/2024 | 105.47 | 5.59 | 0.83 | -0.32 | 2.02 | 2.63 | * | 3.49 |
GBP Institutional Class G Shares | IE00BM98V946 | GBP | * | * | * | * | * | * | * | * | * |
GBP Institutional Class H Pooled Shares | IE00BM98VP02 | GBP | 19/11/2024 | 106.89 | 6.03 | 0.74 | -0.28 | 2.14 | 2.85 | * | 4.59 |
GBP Institutional Class H Shares | IE00BM98VK56 | GBP | * | * | * | * | * | * | * | * | * |
GBP Institutional Class Pooled F Shares | IE00BJJPW026 | GBP | 19/11/2024 | 111.87 | 5.99 | 0.78 | -0.33 | 2.18 | 2.84 | * | 3.51 |
GBP Institutional Class Pooled Shares | IE00BYRPFW22 | GBP | 19/11/2024 | 110.52 | 5.60 | 0.73 | -0.32 | 2.01 | 2.58 | * | 2.77 |
GBP Institutional Class Shares | IE00BYRPFR78 | GBP | * | * | * | * | * | * | * | * | * |
GBP Management Class Shares | IE00BM98VS33 | GBP | * | * | * | * | * | * | * | * | * |
GBP Retail Class Pooled Shares | IE00BYRPG070 | GBP | * | * | * | * | * | * | * | * | * |
USD Institutional Class B Pooled Founder Shares | IE00BF8RVT33 | USD | 19/11/2024 | 119.13 | 6.25 | 0.74 | -0.29 | 2.19 | 3.01 | * | 6.29 |
USD Institutional Class F Shares | IE00BYRPG633 | USD | * | * | * | * | * | * | * | * | * |
USD Institutional Class G Pooled Shares | IE00BM98VG11 | USD | * | * | * | * | * | * | * | * | * |
USD Institutional Class G Shares | IE00BM98VB65 | USD | * | * | * | * | * | * | * | * | * |
USD Institutional Class H Pooled Shares | IE00BM98VQ19 | USD | 19/11/2024 | 107.42 | 6.17 | 0.73 | -0.30 | 2.16 | 2.96 | * | 5.96 |
USD Institutional Class H Shares | IE00BM98VL63 | USD | * | * | * | * | * | * | * | * | * |
USD Institutional Class Pooled F Shares | IE00BJJPW240 | USD | * | * | * | * | * | * | * | * | * |
USD Institutional Class Pooled Shares | IE00BYRPFY46 | USD | 19/11/2024 | 113.48 | 5.75 | 0.72 | -0.34 | 2.03 | 2.70 | * | 4.38 |
USD Institutional Class Shares | IE00BYRPFT92 | USD | 19/11/2024 | 132.07 | 5.87 | 0.72 | -0.34 | 2.03 | 2.69 | * | 4.50 |
USD Management Class Shares | IE00BM98VT40 | USD | 19/11/2024 | 111.53 | 8.58 | 0.94 | -0.29 | 2.94 | 4.17 | * | * |
USD Retail Class Pooled Shares | IE00BYRPG294 | USD | * | * | * | * | * | * | * | * | * |
Nutshell Growth Fund
Share class | ISIN | Currency | Date | NAV | YTD Perf (%) | 1w (%) | 1m (%) | 3m (%) | 6m (%) | 1yr (%) | 3yrs (%) |
---|---|---|---|---|---|---|---|---|---|---|---|
CHF Institutional Class Shares | IE00BLP46R28 | CHF | * | * | * | * | * | * | * | * | * |
CHF Institutional Founder Class Shares | IE00BLP46M72 | CHF | * | * | * | * | * | * | * | * | * |
CHF Retail Class Shares | IE00BLP46W70 | CHF | * | * | * | * | * | * | * | * | * |
EUR Institutional Class Shares | IE00BLP46P04 | EUR | 19/11/2024 | 162.89 | 25.45 | -2.43 | 1.30 | 6.93 | 12.52 | * | 21.02 |
EUR Institutional Founder Class Shares | IE00BLP46K58 | EUR | 19/11/2024 | 138.87 | 25.62 | -2.42 | 1.31 | 6.97 | 12.61 | * | * |
EUR Retail Class Shares | IE00BLP46T42 | EUR | 19/11/2024 | 171.24 | 25.28 | -2.43 | 1.28 | 6.88 | 12.43 | * | 20.48 |
GBP Institutional Class Shares | IE00BLP46Q11 | GBP | 19/11/2024 | 151.70 | 21.01 | -1.88 | 1.67 | 4.89 | 9.82 | * | 20.31 |
GBP Institutional Founder Class Shares | IE00BLP46L65 | GBP | 19/11/2024 | 152.76 | 21.17 | -1.88 | 1.68 | 4.93 | 9.90 | * | 20.84 |
GBP Retail Class Shares | IE00BLP46V63 | GBP | 19/11/2024 | 150.94 | 20.84 | -1.89 | 1.65 | 4.84 | 9.73 | * | 19.84 |
USD Institutional Class Shares | IE00BLP46N89 | USD | 19/11/2024 | 133.09 | 20.23 | -2.64 | -1.23 | 2.30 | 9.53 | * | * |
USD Institutional Founder Class Shares | IE00BLP46J44 | USD | 19/11/2024 | 157.69 | 20.39 | -2.64 | -1.21 | 2.34 | 9.61 | * | 13.72 |
USD Retail Class Shares | IE00BLP46S35 | USD | * | * | * | * | * | * | * | * | * |
Perspective American Absolute Alpha UCITS Fund
Share class | ISIN | Currency | Date | NAV | YTD Perf (%) | 1w (%) | 1m (%) | 3m (%) | 6m (%) | 1yr (%) | 3yrs (%) |
---|---|---|---|---|---|---|---|---|---|---|---|
CHF Institutional Class A Pooled | IE000I3FBHK4 | CHF | * | * | * | * | * | * | * | * | * |
CHF Institutional Class B Pooled | IE000LJDWED0 | CHF | * | * | * | * | * | * | * | * | * |
CHF Institutional Founder Class Pooled | IE0004ZFXJH4 | CHF | * | * | * | * | * | * | * | * | * |
CHF Retail Class Pooled | IE000T59NNH7 | CHF | * | * | * | * | * | * | * | * | * |
EUR Institutional Class A Pooled | IE000M5FQ0R9 | EUR | 19/11/2024 | 105.63 | 6.06 | -0.34 | 0.58 | 1.28 | 3.31 | * | * |
EUR Institutional Class B Pooled | IE000LF40OZ0 | EUR | 19/11/2024 | 105.25 | 5.87 | -0.35 | 0.55 | 1.17 | 3.13 | * | * |
EUR Institutional Founder Class Pooled | IE000QMFZZ81 | EUR | 19/11/2024 | 106.27 | 6.30 | -0.33 | 0.59 | 1.29 | 3.37 | * | * |
EUR Retail Class Pooled | IE000ZCUA0K8 | EUR | * | * | * | * | * | * | * | * | * |
GBP Institutional Class A Pooled | IE000GF8FUJ6 | GBP | 19/11/2024 | 108.75 | 7.32 | -0.31 | 0.70 | 1.59 | 3.97 | * | * |
GBP Institutional Class B Pooled | IE000RRMITS6 | GBP | 19/11/2024 | 108.13 | 6.93 | -0.23 | 0.63 | 1.46 | 3.68 | * | * |
GBP Institutional Founder Class Pooled | IE000HYB0QN8 | GBP | 19/11/2024 | 109.24 | 7.51 | -0.27 | 0.69 | 1.61 | 4.05 | * | * |
GBP Retail Class Pooled | IE000A3YRSU5 | GBP | * | * | * | * | * | * | * | * | * |
USD Institutional Class A Pooled | IE000CW87WZ8 | USD | 19/11/2024 | 109.89 | 7.60 | -0.31 | 0.67 | 1.62 | 4.10 | * | * |
USD Institutional Class B Pooled | IE000UKI6XQ6 | USD | 19/11/2024 | 109.20 | 7.31 | -0.32 | 0.65 | 1.54 | 3.95 | * | * |
USD Institutional Founder Class Pooled | IE0005RVHUH5 | USD | 19/11/2024 | 110.11 | 7.57 | -0.28 | 0.67 | 1.63 | 4.05 | * | * |
USD Retail Class Pooled | IE00097VZYQ5 | USD | * | * | * | * | * | * | * | * | * |
Perspective American Extended Alpha UCITS Fund
Share class | ISIN | Currency | Date | NAV | YTD Perf (%) | 1w (%) | 1m (%) | 3m (%) | 6m (%) | 1yr (%) | 3yrs (%) |
---|---|---|---|---|---|---|---|---|---|---|---|
CHF INSTITUTIONAL CLASS A POOLED | IE0005ZEGTH8 | * | * | * | * | * | * | * | * | * | * |
CHF INSTITUTIONAL CLASS B POOLED | IE000I0YS0D7 | * | * | * | * | * | * | * | * | * | * |
CHF INSTITUTIONAL FOUNDER CLASS POOLED | IE000YEMPAW7 | * | * | * | * | * | * | * | * | * | * |
CHF RETAIL CLASS POOLED | IE000CJERNI7 | * | * | * | * | * | * | * | * | * | * |
EUR INSTITUTIONAL CLASS A POOLED | IE000J48XOB1 | * | 19/11/2024 | 106.75 | * | -0.92 | * | * | * | * | * |
EUR INSTITUTIONAL CLASS B POOLED | IE0007EIJ357 | * | * | * | * | * | * | * | * | * | * |
EUR INSTITUTIONAL FOUNDER CLASS POOLED | IE000HAOMM51 | * | 19/11/2024 | 134.52 | 33.13 | -0.92 | 4.41 | 11.14 | 17.17 | * | * |
EUR Institutional Founder Class H Pooled (Unhedged) | IE0002KOIOQ4 | * | 19/11/2024 | 136164.79 | 33.13 | -0.92 | 4.41 | 11.14 | 17.17 | * | * |
EUR RETAIL CLASS POOLED | IE000ARV6TN1 | * | * | * | * | * | * | * | * | * | * |
GBP INSTITUTIONAL CLASS A POOLED | IE000O2TWAC7 | * | * | * | * | * | * | * | * | * | * |
GBP INSTITUTIONAL CLASS B POOLED | IE000TB0GUT9 | * | * | * | * | * | * | * | * | * | * |
GBP INSTITUTIONAL FOUNDER CLASS POOLED | IE0009SUNTT2 | * | 19/11/2024 | 129.50 | 28.41 | -0.37 | 4.78 | 9.02 | 14.34 | * | * |
GBP RETAIL CLASS POOLED | IE0002FKCSP8 | * | * | * | * | * | * | * | * | * | * |
USD INSTITUTIONAL CLASS A POOLED | IE000343ERW4 | * | 19/11/2024 | 134.44 | 27.20 | -1.13 | 1.68 | 6.16 | 13.80 | * | * |
USD INSTITUTIONAL CLASS B POOLED | IE000WI3MBQ5 | * | * | * | * | * | * | * | * | * | * |
USD INSTITUTIONAL FOUNDER CLASS POOLED | IE000S4MJDW3 | * | 19/11/2024 | 134.98 | 27.58 | -1.14 | 1.80 | 6.33 | 14.05 | * | * |
USD RETAIL CLASS POOLED | IE000U6JINW1 | * | * | * | * | * | * | * | * | * | * |
RoboCap UCITS Fund
Share class | ISIN | Currency | Date | NAV | YTD Perf (%) | 1w (%) | 1m (%) | 3m (%) | 6m (%) | 1yr (%) | 3yrs (%) |
---|---|---|---|---|---|---|---|---|---|---|---|
CHF Institutional Class A Pooled Shares | IE00BYZB6B86 | CHF | 19/11/2024 | 105.91 | 10.41 | -1.61 | 2.91 | 2.53 | 0.60 | * | -7.77 |
CHF Institutional Class B Pooled Shares | IE00BYZB6G32 | CHF | 19/11/2024 | 180.25 | 10.66 | -1.84 | 3.25 | 2.76 | 0.27 | * | -9.07 |
CHF Institutional Class C Pooled Shares | IE00BYZB6L84 | CHF | * | * | * | * | * | * | * | * | * |
CHF Institutional Class Founder Shares | IE00BYZB6Q30 | CHF | 19/11/2024 | 254.89 | 11.18 | -1.83 | 3.30 | 2.88 | 0.51 | * | -7.96 |
EUR Institutional Class A Pooled Shares | IE00BYZB6855 | EUR | 19/11/2024 | 127.74 | 11.83 | -1.56 | 3.09 | 3.12 | 1.59 | * | * |
EUR Institutional Class B Pooled Shares | IE00BYZB6D01 | EUR | 19/11/2024 | 192.53 | 11.22 | -1.51 | 3.03 | 3.07 | 1.53 | * | -8.23 |
EUR Institutional Class C Pooled Shares | IE00BYZB6J62 | EUR | * | * | * | * | * | * | * | * | * |
EUR Institutional Class Founder Shares | IE00BYZB6N09 | EUR | 19/11/2024 | 258.32 | 13.51 | -1.61 | 3.43 | 3.48 | 1.75 | * | -4.08 |
GBP Institutional Class A Pooled Shares | IE00BYZB6962 | GBP | 19/11/2024 | 144.69 | 13.46 | -1.54 | 3.15 | 3.35 | 1.97 | * | -1.83 |
GBP Institutional Class B Pooled Shares | IE00BYZB6F25 | GBP | * | * | * | * | * | * | * | * | * |
GBP Institutional Class C Pooled Shares | IE00BYZB6K77 | GBP | * | * | * | * | * | * | * | * | * |
GBP Institutional Class Founder Shares | IE00BYZB6P23 | GBP | 19/11/2024 | 271.64 | 14.12 | -1.59 | 3.25 | 3.45 | 2.03 | * | -0.76 |
USD Institutional Class A Pooled Shares | IE00BYZB6C93 | USD | * | * | * | * | * | * | * | * | * |
USD Institutional Class B Pooled Shares | IE00BYZB6H49 | USD | 19/11/2024 | 233.66 | 12.57 | -1.49 | 3.05 | 3.34 | 2.13 | * | -0.57 |
USD Institutional Class C Pooled Shares | IE00BYZB6M91 | USD | * | * | * | * | * | * | * | * | * |
USD Institutional Class Founder Shares | IE00BYZB6R47 | USD | 19/11/2024 | 322.35 | 14.38 | -1.57 | 3.26 | 3.63 | 2.42 | * | 2.63 |
Selwood ESG Credit UCITS Fund
Share class | ISIN | Currency | Date | NAV | YTD Perf (%) | 1w (%) | 1m (%) | 3m (%) | 6m (%) | 1yr (%) | 3yrs (%) |
---|---|---|---|---|---|---|---|---|---|---|---|
CHF Founder Class | IE000X2V1HH2 | * | * | * | * | * | * | * | * | * | * |
CHF Institutional Class | IE000PHCJZI8 | * | * | * | * | * | * | * | * | * | * |
CHF Institutional Class Pooled | IE000B3KQYA5 | * | * | * | * | * | * | * | * | * | * |
CHF Retail Class Pooled | IE0001B8S6N7 | * | * | * | * | * | * | * | * | * | * |
EUR Founder Class | IE000NWFI5E1 | * | 19/11/2024 | 104.13 | -0.13 | -0.22 | -0.83 | -0.14 | -0.81 | * | * |
EUR Institutional Class | IE000QX0ECU7 | * | 19/11/2024 | 98.85 | * | -0.22 | -0.86 | -0.26 | * | * | * |
EUR Institutional Class Pooled | IE000CU6G9J3 | * | * | * | * | * | * | * | * | * | * |
EUR Retail Class Pooled | IE000QBMTP10 | * | * | * | * | * | * | * | * | * | * |
GBP Founder Class | IE000DYCV915 | * | * | * | * | * | * | * | * | * | * |
GBP Institutional Class | IE0008LYM4F5 | * | * | * | * | * | * | * | * | * | * |
GBP Institutional Class Pooled | IE00073ARS34 | * | * | * | * | * | * | * | * | * | * |
GBP Retail Class Pooled | IE000M9MDPY1 | * | * | * | * | * | * | * | * | * | * |
SHARP UCITS Fund
Share class | ISIN | Currency | Date | NAV | YTD Perf (%) | 1w (%) | 1m (%) | 3m (%) | 6m (%) | 1yr (%) | 3yrs (%) |
---|---|---|---|---|---|---|---|---|---|---|---|
CHF Institutional Class Shares | IE00BKSBDM76 | CHF | * | * | * | * | * | * | * | * | * |
CHF Retail Class Shares | IE00BKSBDR22 | CHF | * | * | * | * | * | * | * | * | * |
CHF Select Institutional Class Shares | IE00BKSBDH24 | CHF | * | * | * | * | * | * | * | * | * |
EUR Institutional Class Shares | IE00BKSBDK52 | EUR | * | * | * | * | * | * | * | * | * |
EUR Retail Class Shares | IE00BKSBDP08 | EUR | * | * | * | * | * | * | * | * | * |
EUR Select Institutional Class Shares | IE00BKSBDF00 | EUR | * | * | * | * | * | * | * | * | * |
GBP Institutional Class Shares | IE00BKSBDL69 | GBP | * | * | * | * | * | * | * | * | * |
GBP Retail Class Shares | IE00BKSBDQ15 | GBP | * | * | * | * | * | * | * | * | * |
GBP Select Institutional Class Shares | IE00BKSBDG17 | GBP | * | * | * | * | * | * | * | * | * |
USD Institutional Class Shares | IE00BKSBDJ48 | USD | 19/11/2024 | 1103.16 | 7.90 | -0.34 | -1.98 | 0.22 | 1.91 | * | 110216.00 |
USD Retail Class Shares | IE00BKSBDN83 | USD | * | * | * | * | * | * | * | * | * |
USD Select Institutional Class Shares | IE00BKSBDD85 | USD | 19/11/2024 | 1124.35 | 8.45 | -0.34 | -1.97 | 0.25 | 1.98 | * | 112335.00 |
Sixteen02 Global Equities UCITS Fund
Share class | ISIN | Currency | Date | NAV | YTD Perf (%) | 1w (%) | 1m (%) | 3m (%) | 6m (%) | 1yr (%) | 3yrs (%) |
---|---|---|---|---|---|---|---|---|---|---|---|
CHF Institutional Class Shares | IE00BLF83C88 | CHF | * | * | * | * | * | * | * | * | * |
CHF Institutional Founder Class Shares | IE00BLF83398 | CHF | * | * | * | * | * | * | * | * | * |
CHF Institutional Founder Pooled Class Shares | IE00BLF82Z41 | CHF | * | * | * | * | * | * | * | * | * |
CHF Institutional Pooled Class Shares | IE00BLF83737 | CHF | * | * | * | * | * | * | * | * | * |
CHF Retail Pooled Class Shares | IE00BLF83H34 | CHF | * | * | * | * | * | * | * | * | * |
EUR Class E Shares | IE00BLPJPW58 | EUR | 19/11/2024 | 149.67 | 21.74 | -2.27 | 2.90 | 9.30 | 12.46 | * | 19.14 |
EUR Institutional Class Shares | IE00BLF83950 | EUR | 19/11/2024 | 166.82 | 35.55 | -2.12 | 2.74 | 9.00 | 11.92 | * | 31.54 |
EUR Institutional Founder Class Shares | IE00BLF83174 | EUR | 19/11/2024 | 167.82 | 37.14 | -2.28 | 2.87 | 9.22 | 12.29 | * | 33.37 |
EUR Institutional Founder Pooled Class Shares | IE00BLF82X27 | EUR | * | * | * | * | * | * | * | * | * |
EUR Institutional Pooled Class Shares | IE00BLF83513 | EUR | * | * | * | * | * | * | * | * | * |
EUR Retail Pooled Class Shares | IE00BLF83F10 | EUR | * | * | * | * | * | * | * | * | * |
GBP Class E Shares | IE00BLF83K62 | GBP | 19/11/2024 | 163.46 | 32.66 | -1.73 | 3.27 | 7.22 | 9.75 | * | 33.79 |
GBP Institutional Class Shares | IE00BLF83B71 | GBP | * | * | * | * | * | * | * | * | * |
GBP Institutional Founder Class Shares | IE00BLF83281 | GBP | 19/11/2024 | 158.66 | 31.88 | -1.52 | 3.11 | 6.98 | 9.37 | * | 32.16 |
GBP Institutional Founder Pooled Class Shares | IE00BLF82Y34 | GBP | * | * | * | * | * | * | * | * | * |
GBP Institutional Pooled Class Shares | IE00BLF83620 | GBP | * | * | * | * | * | * | * | * | * |
GBP Retail Pooled Class Shares | IE00BLF83G27 | GBP | * | * | * | * | * | * | * | * | * |
USD Class E Shares | IE00BLF83J57 | USD | 19/11/2024 | 152.17 | 31.80 | -2.49 | 0.33 | 4.57 | 9.46 | * | 25.89 |
USD Institutional Class Shares | IE00BLF83844 | USD | 19/11/2024 | 148.75 | 31.08 | -2.50 | 0.27 | 4.41 | 9.13 | * | 23.63 |
USD Institutional Founder Class Shares | IE00BLF83067 | USD | 19/11/2024 | 150.15 | 31.44 | -2.49 | 0.30 | 4.49 | 9.29 | * | 24.76 |
USD Institutional Founder Pooled Class Shares | IE00BLF82W10 | USD | * | * | * | * | * | * | * | * | * |
USD Institutional Pooled Class Shares | IE00BLF83406 | USD | * | * | * | * | * | * | * | * | * |
USD Retail Pooled Class Shares | IE00BLF83D95 | USD | 19/11/2024 | 150.12 | 31.65 | -2.48 | 0.33 | 4.61 | 9.44 | * | 24.62 |
Tosca Market Thinking Fund
Share class | ISIN | Currency | Date | NAV | YTD Perf (%) | 1w (%) | 1m (%) | 3m (%) | 6m (%) | 1yr (%) | 3yrs (%) |
---|---|---|---|---|---|---|---|---|---|---|---|
USD Founder Class | IE0007P68ZR1 | * | 19/11/2024 | 109.13 | 7.10 | -0.62 | -1.38 | 2.69 | 2.84 | * | * |
USD Institutional Class A | IE0006XC0E34 | * | 19/11/2024 | 108.20 | 6.25 | -0.64 | -1.44 | 2.53 | 2.52 | * | * |
USD Institutional Class B | IE0004O1FB04 | * | 19/11/2024 | 108.51 | 6.53 | -0.63 | -1.42 | 2.59 | 2.63 | * | * |
Tosca Micro Cap UCITS Fund
Share class | ISIN | Currency | Date | NAV | YTD Perf (%) | 1w (%) | 1m (%) | 3m (%) | 6m (%) | 1yr (%) | 3yrs (%) |
---|---|---|---|---|---|---|---|---|---|---|---|
CHF Institutional Class Pooled Shares | IE00BD2MF657 | CHF | * | * | * | * | * | * | * | * | * |
CHF Institutional Class Shares | IE00B3MBJQ07 | CHF | * | * | * | * | * | * | * | * | * |
CHF Retail Class Shares | IE00B3SLGP29 | CHF | * | * | * | * | * | * | * | * | * |
EUR Institutional Class Pooled Shares | IE00BD2MF541 | EUR | * | * | * | * | * | * | * | * | * |
EUR Institutional Class Shares | IE00B3QLJ113 | EUR | 19/11/2024 | 131.77 | -15.36 | -1.47 | -3.00 | -13.96 | -14.24 | * | -41.11 |
EUR Retail Class Shares | IE00B3N9LL24 | EUR | 19/11/2024 | 119.12 | -15.77 | -1.48 | -3.07 | -14.04 | -14.41 | * | -42.18 |
GBP Institutional Class Pooled Shares | IE00B3RTD232 | GBP | 19/11/2024 | 137.32 | -14.22 | -1.43 | -2.84 | -13.52 | -13.52 | * | -38.24 |
GBP Institutional Class Shares | IE00B68Z1V62 | GBP | 19/11/2024 | 148.35 | -14.21 | -1.43 | -2.84 | -13.52 | -13.52 | * | -38.24 |
GBP Retail Class Pooled Shares | IE00B4M22S36 | GBP | 19/11/2024 | 84.14 | -14.79 | -1.45 | -2.90 | -13.69 | -13.85 | * | -39.61 |
GBP Retail Class Shares | IE00B3YLLZ14 | GBP | 19/11/2024 | 139.23 | -14.81 | -1.45 | -2.91 | -13.69 | -13.85 | * | -39.62 |
USD Institutional Class Pooled Shares | IE00BD2MF764 | USD | * | * | * | * | * | * | * | * | * |
USD Institutional Class Shares | IE00B3QZNH75 | USD | 19/11/2024 | 92.17 | -13.90 | -1.43 | -2.80 | -13.42 | -13.34 | * | -37.13 |
USD Retail Class Shares | IE00B3SGTD66 | USD | 19/11/2024 | 140.54 | -14.48 | -1.45 | -2.86 | -13.59 | -13.67 | * | -38.53 |
Trinity Street Global Equity UCITS Fund
Share class | ISIN | Currency | Date | NAV | YTD Perf (%) | 1w (%) | 1m (%) | 3m (%) | 6m (%) | 1yr (%) | 3yrs (%) |
---|---|---|---|---|---|---|---|---|---|---|---|
EUR Class A Pooled Shares | IE00BF41PW08 | * | 19/11/2024 | 467.82 | * | -0.98 | -0.87 | -1.50 | -6.37 | * | * |
EUR Class B Pooled Shares | IE00BF41PZ39 | EUR | * | * | * | * | * | * | * | * | * |
EUR Class D Pooled Shares | IE00BF41Q270 | EUR | * | * | * | * | * | * | * | * | * |
EUR Class E Pooled Shares | IE00BKM63W80 | EUR | 19/11/2024 | 146.82 | 7.78 | -0.96 | -0.80 | -1.29 | -5.98 | * | 20.08 |
EUR Class F Pooled Shares | IE000ZNGCUS1 | * | * | * | * | * | * | * | * | * | * |
EUR Class G Pooled Shares | IE0005P5VJM8 | * | * | * | * | * | * | * | * | * | * |
EUR Class I Pooled Shares | IE00BF41PS61 | EUR | * | * | * | * | * | * | * | * | * |
EUR Class X Pooled Shares | IE00BF41PP31 | EUR | 19/11/2024 | 107.82 | * | -0.97 | -0.84 | -1.41 | -5.87 | * | * |
GBP Class A Pooled Shares | IE00BF41PX15 | GBP | 19/11/2024 | 440.34 | 3.24 | -0.43 | -0.51 | -3.38 | -8.63 | * | 16.80 |
GBP Class B Pooled Shares | IE00BF41Q056 | GBP | * | * | * | * | * | * | * | * | * |
GBP Class D Pooled Shares | IE00BF41Q387 | GBP | * | * | * | * | * | * | * | * | * |
GBP Class E Pooled Shares | IE00BKM63X97 | GBP | 19/11/2024 | 183.50 | 3.96 | -0.41 | -0.44 | -3.17 | -8.25 | * | 19.35 |
GBP Class F Pooled Shares | IE000XBN3NH4 | * | * | * | * | * | * | * | * | * | * |
GBP Class G Pooled Shares | IE000GDSKSB0 | * | * | * | * | * | * | * | * | * | * |
GBP Class I Pooled Shares | IE00BF41PT78 | GBP | * | * | * | * | * | * | * | * | * |
GBP Class X Pooled Shares | IE00BF41PQ48 | GBP | 19/11/2024 | 159.19 | 3.61 | -0.42 | -0.48 | -3.28 | -8.44 | * | 16.88 |
USD Class A Pooled Shares | IE00BF41PY22 | USD | 19/11/2024 | 355.80 | 2.58 | -1.19 | -3.34 | -5.76 | -8.87 | * | 9.86 |
USD Class B Pooled Shares | IE00BF41Q163 | USD | * | * | * | * | * | * | * | * | * |
USD Class D Pooled Shares | IE00BF41Q494 | USD | * | * | * | * | * | * | * | * | * |
USD Class E Pooled Shares | IE00BKM63Y05 | USD | 19/11/2024 | 96.70 | * | -1.17 | -3.27 | * | * | * | * |
USD Class F Pooled Shares | IE00071XGKC5 | * | * | * | * | * | * | * | * | * | * |
USD Class G Pooled Shares | IE000D17JJ80 | * | * | * | * | * | * | * | * | * | * |
USD Class I Pooled Shares | IE00BF41PV90 | USD | 19/11/2024 | 364.72 | 2.58 | -1.19 | -3.34 | -5.76 | -8.86 | * | 9.92 |
USD Class X Pooled Shares | IE00BF41PR54 | USD | 19/11/2024 | 156.23 | 2.91 | -1.18 | -3.31 | -5.67 | -8.69 | * | 9.68 |
Virtuoso UCITS Fund
Share class | ISIN | Currency | Date | NAV | YTD Perf (%) | 1w (%) | 1m (%) | 3m (%) | 6m (%) | 1yr (%) | 3yrs (%) |
---|---|---|---|---|---|---|---|---|---|---|---|
CHF Institutional Class Pooled Shares | IE00BLDGJQ02 | CHF | 19/11/2024 | 83.64 | 1.60 | 0.11 | -0.16 | -1.09 | -5.89 | * | * |
CHF Institutional Class Shares | IE00BLDGJG04 | CHF | * | * | * | * | * | * | * | * | * |
CHF Institutional Founder Class Pooled Shares | IE00BLDGJV54 | CHF | * | * | * | * | * | * | * | * | * |
CHF Institutional Founder Class Shares | IE00BLDGJL56 | CHF | 19/11/2024 | 92.27 | 2.29 | 0.13 | -0.09 | -0.89 | -5.58 | * | -18.95 |
CHF Retail Class Pooled Shares | IE00BLDGJZ92 | CHF | 19/11/2024 | 80.74 | 1.04 | 0.11 | -0.19 | -1.20 | -5.54 | * | * |
EUR Institutional Class Pooled Shares | IE00BLDGJM63 | EUR | 19/11/2024 | 93.45 | 3.81 | 0.16 | 0.02 | -0.42 | -4.11 | * | -16.68 |
EUR Institutional Class Shares | IE00BLDGJC65 | EUR | * | * | * | * | * | * | * | * | * |
EUR Institutional Founder Class Pooled Shares | IE00BLDGJR19 | EUR | * | * | * | * | * | * | * | * | * |
EUR Institutional Founder Class Shares | IE00BLDGJH11 | EUR | * | * | * | * | * | * | * | * | * |
EUR Retail Class Pooled Shares | IE00BLDGJW61 | EUR | 19/11/2024 | 91.61 | 3.30 | 0.14 | -0.03 | -0.56 | -5.05 | * | -17.95 |
GBP Institutional Class Pooled Shares | IE00BLDGJP94 | GBP | * | * | * | * | * | * | * | * | * |
GBP Institutional Class Shares | IE00BLDGJF96 | GBP | * | * | * | * | * | * | * | * | * |
GBP Institutional Founder Class Pooled Shares | IE00BLDGJT33 | GBP | * | * | * | * | * | * | * | * | * |
GBP Institutional Founder Class Shares | IE00BLDGJK40 | GBP | * | * | * | * | * | * | * | * | * |
GBP Retail Class Pooled Shares | IE00BLDGJY85 | GBP | 19/11/2024 | 98.43 | * | 0.18 | 0.07 | * | * | * | * |
USD Institutional Class Pooled Shares | IE00BLDGJN70 | USD | * | * | * | * | * | * | * | * | * |
USD Institutional Class Shares | IE00BLDGJD72 | USD | * | * | * | * | * | * | * | * | * |
USD Institutional Founder Class Pooled Shares | IE00BLDGJS26 | USD | * | * | * | * | * | * | * | * | * |
USD Institutional Founder Class Shares | IE00BLDGJJ35 | USD | * | * | * | * | * | * | * | * | * |
USD Retail Class Pooled Shares | IE00BLDGJX78 | USD | * | * | * | * | * | * | * | * | * |
Volatility Arbitrage UCITS Fund
Share class | ISIN | Currency | Date | NAV | YTD Perf (%) | 1w (%) | 1m (%) | 3m (%) | 6m (%) | 1yr (%) | 3yrs (%) |
---|---|---|---|---|---|---|---|---|---|---|---|
CHA | IE000PY09W56 | * | * | * | * | * | * | * | * | * | * |
CHI | IE000J400TY2 | * | 19/11/2024 | 97.91 | * | -0.01 | 1.01 | 0.32 | * | * | * |
EHA | IE000FK526C1 | * | 19/11/2024 | 99.53 | * | 0.01 | 1.15 | 0.80 | * | * | * |
EHI | IE000CPWXNF0 | * | 19/11/2024 | 101.07 | 0.19 | 0.02 | 1.01 | 0.85 | 1.71 | * | * |
EI | IE000X3IY4G0 | * | 19/11/2024 | 103.21 | 5.18 | 0.22 | 3.21 | 5.25 | 4.76 | * | * |
UA | IE000V8WDLD4 | * | 19/11/2024 | 101.69 | 0.62 | 0.04 | 1.02 | 0.97 | 1.94 | * | * |
UI | IE0005RLJ1N2 | * | 19/11/2024 | 102.58 | 1.29 | 0.05 | 1.10 | 1.16 | 2.23 | * | * |
Westbeck Energy Transition UCITS Fund
Share class | ISIN | Currency | Date | NAV | YTD Perf (%) | 1w (%) | 1m (%) | 3m (%) | 6m (%) | 1yr (%) | 3yrs (%) |
---|---|---|---|---|---|---|---|---|---|---|---|
CHF INSTITUTIONAL CLASS POOLED | IE000B7QTLQ0 | * | 19/11/2024 | 104.10 | 3.71 | 1.71 | -0.91 | 3.10 | -2.35 | * | * |
CHF INSTITUTIONAL FOUNDER CLASS POOLED | IE000NN420O9 | * | 19/11/2024 | 103.11 | * | 1.92 | -1.00 | 3.58 | -2.43 | * | * |
CHF RETAIL CLASS POOLED | IE000OLL6T49 | * | 19/11/2024 | 103.87 | 3.17 | 1.70 | -0.95 | 2.99 | -2.55 | * | * |
EUR INSTITUTIONAL CLASS POOLED | IE000ENNEMU1 | * | 19/11/2024 | 107.20 | 6.44 | 1.74 | -0.74 | 3.69 | -1.30 | * | * |
EUR INSTITUTIONAL FOUNDER CLASS POOLED | IE000F310W17 | * | 19/11/2024 | 108.70 | 7.73 | 1.97 | -0.82 | 4.23 | -1.31 | * | * |
EUR RETAIL CLASS POOLED | IE000T8ZH0N7 | * | 19/11/2024 | 106.53 | 5.86 | 1.73 | -0.78 | 3.56 | -1.52 | * | * |
GBP INSTITUTIONAL CLASS POOLED | IE000DOE5H38 | * | 19/11/2024 | 109.38 | 7.87 | 1.77 | -0.64 | 3.92 | -0.80 | * | * |
GBP INSTITUTIONAL FOUNDER CLASS POOLED | IE000H6GX0N7 | * | 19/11/2024 | 110.02 | 9.45 | 1.99 | -0.70 | 4.54 | -0.69 | * | * |
GBP RETAIL CLASS POOLED | IE000NRIDCW2 | * | 19/11/2024 | 105.81 | * | 1.75 | -0.68 | 3.84 | -0.98 | * | * |
USD INSTITUTIONAL CLASS POOLED | IE000EW86791 | * | 19/11/2024 | 109.31 | 8.14 | 1.77 | -0.64 | 4.00 | -0.65 | * | * |
USD INSTITUTIONAL FOUNDER CLASS POOLED | IE000MZ4R8L8 | * | 19/11/2024 | 111.23 | 9.79 | 2.00 | -0.69 | 4.61 | -0.53 | * | * |
USD RETAIL CLASS POOLED | IE000EKBP8D7 | * | 19/11/2024 | 108.57 | 7.49 | 1.76 | -0.67 | 4.04 | -0.92 | * | * |
ABOUT MONTLAKE UCITS
The Montlake UCITS platform offers managers and investors alike, a non-conflicted UCITS platform choice.
The structure is a flexible option for fund managers, offering a turnkey solution that delivers all the necessary documentation and regulatory requirements. A sub-fund launch offers a cost efficient and quick route to market, without the need to incorporate a stand-alone structure.
Additional manager benefits include strong fiduciary oversight and active distribution, benefiting from the ‘Montlake’ brand which has become synonymous with a prestigious network of investors both within and outside of Europe. Investor benefits include a regulated fund structure, a boutique approach to client services and the highest standards of corporate governance.
Managers
- Montlake provides the solution for proven fund managers to launch in a UCITS format
- Montlake offers investment managers a turnkey solution that delivers all the necessary fund documentation, along with access to a selection of top-tier service providers
- Montlake has a prestigious network of relationships throughout a variety of distribution channels both inside and outside of Europe, delivering a deep and more stable capital base for managers
Investors
- Montlake offers investors a highly regulated UCITS platform with the comfort of liquidity, transparency and European regulatory oversight
- The protection of investor’s capital is paramount to Montlake; accordingly, risk management and on-going due diligence are of central importance to the platform
- Over time, Montlake will offer investors a diverse platform, both strategically and geographically, with an emphasis on best of breed managers from around the globe
Terms and Conditions Apply
Waystone Investment Management (IE) Limited, 35 Shelbourne Road, Dublin 4, D04 A4E0, Ireland is licensed to provide Investment Management services to Professional Clients (including Collective Investment Schemes) by the Central Bank of Ireland.
Montlake UCITS Platform ICAV is an umbrella open-ended Irish collective asset-management vehicle with segregated liability between Funds formed in Ireland under the Irish Collective Asset-management Vehicles Act 2015 and authorised by the Central Bank as a UCITS pursuant to the UCITS Regulations.
The Manager of Montlake UCITS Platform ICAV is Waystone Management Company (IE) Limited, a company regulated by the Central Bank of Ireland.
This website is directed mainly for professional and institutional clients who possess the necessary experience, knowledge and expertise to make their own investment decisions and properly assess the risk that it incurs.
Information on this website was obtained from various sources and the company does not guarantee its accuracy. The information is for your private use and discussion purposes only and expressed views and opinions may change.
The Performance figures quoted refer to the past and past performance is not a guarantee of future performance or a reliable guide to future performance. The value of your investment and their income may go down as well as up.
Your investment may also be subject to currency, interest rate, as well as market fluctuations. Consequently the Investor may not get back a sum equal to that he / she originally invested.
Investors should note that an investment in those Sub-Funds which may invest in emerging markets should not constitute a substantial proportion of an investment portfolio and may not be appropriate for all investors.
The Sub-Funds may invest in Over the Counter as well as Exchange Traded derivative instruments to enhance return or hedge against fluctuations in security prices or market rates as well as to short sell a security through the use of a derivative instrument. Transactions in derivative instruments involve a risk of loss or depreciation of capital due to adverse changes in security prices, exchange rates or interest rates or in the case of OTC instruments default of Counterparty. This investment may not be suitable for all types of investors. It is therefore recommended that you consult your investment advisor.
A commission or sales fee may be charged at the time of the initial purchase for an investment and may be deducted from the invested amount therefore lowering the size of your investment. The Investment Manager will be entitled to receive a performance fee as well as a management fee, calculated on a daily basis and paid quarterly by the sub-funds.
The Levels and bases of taxation are dependent on individual circumstances and subject to change and therefore it is highly recommended that you consult a professional tax advisor.