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H1 Capital S2 (Series 549) Notes due 2045 USD Accumulation XS3008530993

120.11 USD
0.00 USD
0.00 %
22.5.2026
NAV

Nettoinventarwert (NAV)

120.11 USD USD %
Vortag USD Datum 22.05.2026

H1 Capital S2 (Series 549) Notes due 2045 USD Accumulation Kurs - 1 Jahr

  • 1W
  • 3M
  • 1J
  • 3J
  • 5J
  • MAX

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Name ISIN Performance
21Shares Bitcoin Gold ETP CH1146882308 10.93%
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21Shares NEAR Protocol Staking ETP CH1162108893 -10.50%
21Shares Bitcoin Cash ETP CH0475552201 -20.21%
21Shares Ethereum Core Staking ETP Acc CH1209763130 -21.91%
21Shares Cronos Staking ETP CH1443364232 -32.27%
21Shares Dogecoin ETP CH1431521033 -56.47%
21Shares Injective Staking ETP CH1360612134 -62.56%
21Shares Sui Staking ETP CH1360612159 -73.05%
21Shares Immutable ETP CH1360612142 -74.81%
Name ISIN Performance
21Shares XRP ETP CH0454664043 136.69%
21Shares Bitcoin Gold ETP CH1146882308 65.60%
21Shares Stellar ETP CH1109575535 37.71%
21Shares Crypto Basket Equal Weight (HODLV) ETP CH1135202161 24.92%
21Shares Bitcoin Core ETP CH1199067674 10.05%

Fundamentaldaten

Valor
ISIN XS3008530993
Emittent H1 Capital
Aufgelegt in Ireland
Auflagedatum 25.02.2025
Kategorie Mischfonds Sonstige
Währung USD
Volumen
Depotbank Interactive Brokers LLC
Geschäftsjahresende
Berichtsstand 04.05.2026

Anlagepolitik

So investiert der H1 Capital S2 (Series 549) Notes due 2045 USD Accumulation: The Investment Strategy combines diversification across various asset classes with a keen focus on market signals to optimize returns and manage risk effectively. The Portfolio Manager will invest in major US stock indexes and in fixed income instruments. The Investment Strategy will be adapted on a monthly basis based on technical signals, such as moving averages and absolute momentum. When signals are positive, the Portfolio Manager will allocate 100% of the Portfolio in one of the stocks/equities that replicates the performance of the Standard & Poor’s 500 Index, Nasdaq-100 Index or the Standard & Poor’s MidCap 400 Index. When signals are negative, the Portfolio Manager will take a more conservative approach, investing 100% of the Portfolio assets in US government/corporate bonds, and in defensive sectors, such as utilities and industrials.