Name | Valor | Fondsgesellschaft | Währ. | 1Y % | 3Y % | 5Y % | Vol. (Mio.) |
---|---|---|---|---|---|---|---|
Mistral Value Fund CHF I Fonds | 26007131 | Osiris Asset Management AG | CHF | -5.27 | 23.01 | 44.71 | 50.97 |
Mistral Value Fund CHF P Fonds | 12612345 | Osiris Asset Management AG | CHF | -6.31 | 19.44 | 37.81 | 50.97 |
Mistral Value Fund EUR P Fonds | 12612347 | Osiris Asset Management AG | EUR | -3.30 | 29.09 | 50.10 | 50.97 |
Mistral Value Fund USD P Fonds | 2510965 | Osiris Asset Management AG | USD | 2.56 | 38.04 | 57.08 | 50.97 |