AS SICAV I - Global Innovation Equity Fund A Acc USD / 933484 / LU0107464264
|
100,00 % |
9,24 % |
-3,19 % |
35,73 % |
19,63 % |
20,27 % |
AS SICAV I - Select Euro High Yield Bd A MInc EUR / 933486 / LU0119174026
|
100,00 % |
1,24 % |
8,20 % |
2,63 % |
8,52 % |
10,50 % |
AS SICAV I - Select Euro High Yield Bd B1 / 933487 / LU0119176823
|
100,00 % |
0,23 % |
5,00 % |
-2,38 % |
8,51 % |
10,49 % |
AS SICAV I - Asia Pacific Sustainable Equity A Acc USD / 972857 / LU0011963245
|
100,00 % |
-3,17 % |
14,31 % |
9,75 % |
15,31 % |
15,87 % |
Aberdeen Global - Asia Pacific Equity B2 / 973294 / LU0049195562
|
100,00 % |
5,30 % |
12,72 % |
25,23 % |
14,76 % |
13,53 % |
AS SICAV I - European Sustainable Equity Fund A Acc EUR / 989899 / LU0094541447
|
100,00 % |
15,01 % |
21,27 % |
38,29 % |
16,64 % |
16,30 % |
AS SICAV I - Japanese Sustainable Equity A Acc JPY / 973299 / LU0011963674
|
100,00 % |
2,52 % |
0,21 % |
0,31 % |
15,43 % |
15,69 % |
AS SICAV I - American Focused Equity Fund A Acc USD / 973301 / LU0011963831
|
100,00 % |
-13,21 % |
9,89 % |
47,05 % |
17,06 % |
16,17 % |
AS SICAV I - UK Sustainable Equity Fund A Acc GBP / 973319 / LU0011963757
|
100,00 % |
-11,03 % |
20,63 % |
9,67 % |
22,17 % |
19,63 % |
AS SICAV I - Australasian Equity Fund A Acc AUD / 973327 / LU0011963328
|
100,00 % |
- |
- |
- |
- |
- |
AS SICAV I - Asian Loc Curr. Shrt Term Bd A QInc USD / 973329 / LU0011964219
|
100,00 % |
8,48 % |
13,03 % |
20,69 % |
5,60 % |
4,99 % |
Aberdeen SLF (Lux) - Sterling Fund A - 2 Acc / 973472 / LU0049015760
|
100,00 % |
0,38 % |
5,05 % |
4,65 % |
5,24 % |
5,31 % |
Aberdeen SLF (Lux) - Canadian Dollar Fd A - 2 Acc / 973473 / LU0049016909
|
100,00 % |
-0,61 % |
8,75 % |
15,83 % |
7,00 % |
6,52 % |
Aberdeen SLF (Lux) - US Dollar Fund A - 2 Acc / 973474 / LU0049014870
|
100,00 % |
2,48 % |
4,98 % |
17,04 % |
7,99 % |
6,86 % |
Aberdeen SLF (Lux) - Euro Fund A - 2 Acc / 973498 / LU0090865873
|
100,00 % |
1,18 % |
0,09 % |
-0,80 % |
0,29 % |
0,23 % |
AS SICAV I - Global Sustainable Equity Fund A Acc USD / 989897 / LU0094547139
|
100,00 % |
6,58 % |
21,31 % |
25,12 % |
15,34 % |
16,06 % |
AS SICAV I - Asian Loc Curr. Shrt Term Bd A Acc USD / 634564 / LU0094548533
|
100,00 % |
8,48 % |
13,03 % |
20,55 % |
5,60 % |
4,98 % |
AS SICAV I - Select Euro High Yield Bd A Acc EUR / 589376 / LU0119176310
|
100,00 % |
1,24 % |
8,20 % |
2,67 % |
8,52 % |
10,50 % |
AS SICAV I - Emer. Markets Equity A Acc USD / 769088 / LU0132412106
|
100,00 % |
-2,65 % |
11,19 % |
0,74 % |
15,36 % |
17,18 % |
AS SICAV I - Select EM Bond A MInc USD / 769094 / LU0132413252
|
100,00 % |
-3,32 % |
-8,96 % |
-4,71 % |
8,53 % |
11,66 % |
AS SICAV I - Select EM Bond A Acc USD / 769092 / LU0132414144
|
100,00 % |
-3,32 % |
-8,97 % |
-4,72 % |
8,53 % |
11,66 % |
AS SICAV I - Japanese Smaller Comp. Sust. Eqty A Acc GBP / A0MPGG / LU0278933410
|
100,00 % |
-2,50 % |
-14,30 % |
-12,12 % |
16,07 % |
16,55 % |
AS SICAV I - Asia Pacific Sustainable Equity A Acc GBP / A0HL28 / LU0231455378
|
100,00 % |
-3,13 % |
14,00 % |
9,83 % |
15,25 % |
16,08 % |
AS SICAV I - Select Euro High Yield Bd A MInc GBP / A0HL32 / LU0231456855
|
100,00 % |
1,11 % |
8,04 % |
2,33 % |
8,42 % |
10,60 % |
AS SICAV I - Emer. Markets Equity A Acc GBP / A0HL3S / LU0231456343
|
100,00 % |
-2,61 % |
10,89 % |
0,82 % |
15,32 % |
17,41 % |
AS SICAV I - Sel. Gbl Invest. Grade Credit Bd A Acc GBP / A0HM7K / LU0231464446
|
100,00 % |
1,79 % |
-4,14 % |
-4,95 % |
6,38 % |
7,99 % |
Aberdeen Global - Select Global Credit Bond Fund D1 / A0HM7S / LU0231465849
|
100,00 % |
1,25 % |
-2,80 % |
8,32 % |
9,88 % |
8,82 % |
AS SICAV I - Global Innovation Equity Fund A Acc GBP / A0HMF2 / LU0231457747
|
100,00 % |
9,28 % |
-3,46 % |
35,85 % |
19,56 % |
20,53 % |
AS SICAV I - Japanese Sustainable Equity A Acc GBP / A0HMFL / LU0231457234
|
100,00 % |
2,69 % |
0,14 % |
0,45 % |
15,52 % |
15,98 % |
AS SICAV I - UK Sustainable Equity Fund A SInc GBP / A0HMGA / LU0231458125
|
100,00 % |
-11,02 % |
20,81 % |
9,84 % |
22,17 % |
19,62 % |
AS SICAV I - Global Sustainable Equity Fund A Acc GBP / A0HMGK / LU0231459016
|
100,00 % |
6,62 % |
20,98 % |
25,22 % |
15,24 % |
16,24 % |
AS SICAV I - Asian Smaller Companies Fund A Acc USD / A0HMM3 / LU0231459107
|
100,00 % |
-6,15 % |
14,59 % |
2,64 % |
14,26 % |
16,82 % |
AS SICAV I - Asian Smaller Companies Fund A Acc GBP / A0HMM5 / LU0231459958
|
100,00 % |
-6,12 % |
14,27 % |
2,72 % |
14,23 % |
17,04 % |
AS SICAV I - All China Sustainable Equity Fund A Acc USD / A0HMN2 / LU0231483743
|
100,00 % |
-12,20 % |
-17,19 % |
-16,25 % |
25,08 % |
22,75 % |
AS SICAV I - All China Sustainable Equity Fund A Acc GBP / A0HMS0 / LU0231460295
|
100,00 % |
-12,17 % |
-17,42 % |
-16,18 % |
25,09 % |
22,96 % |
AS SICAV I - Europe ex UK Sustainable Equity Fund A Acc EUR / A0HMS8 / LU0231484808
|
100,00 % |
12,84 % |
20,25 % |
36,32 % |
18,05 % |
17,19 % |
AS SICAV I - Europe ex UK Sustainable Equity Fund A Acc GBP / A0HMTA / LU0231460451
|
100,00 % |
12,70 % |
20,06 % |
35,94 % |
18,04 % |
17,25 % |
Aberdeen Global - Select High Yield Bond Fund D1 / A0HMTQ / LU0231461004
|
100,00 % |
-0,19 % |
18,64 % |
63,73 % |
5,81 % |
7,92 % |
AS SICAV I - Indian Equity Fund A Acc USD / A0HMTV / LU0231490524
|
100,00 % |
-0,70 % |
46,58 % |
21,91 % |
15,96 % |
19,03 % |
AS SICAV I - Indian Equity Fund A Acc GBP / A0HMTX / LU0231462077
|
100,00 % |
-0,66 % |
46,19 % |
22,02 % |
15,89 % |
19,10 % |
AS SICAV I - Emerg. Markets Smaller Companies A Acc USD / A0MQN4 / LU0278937759
|
100,00 % |
1,96 % |
37,66 % |
21,48 % |
14,26 % |
18,24 % |
AS SICAV I - Emerg. Markets Smaller Companies A Acc GBP / A0MUMS / LU0278932362
|
100,00 % |
2,00 % |
37,29 % |
21,56 % |
14,26 % |
18,51 % |
AS SICAV I - Japanese Smaller Comp. Sust. Eqty A Acc JPY / A0MTAP / LU0278936439
|
100,00 % |
-2,66 % |
-14,22 % |
-12,23 % |
15,99 % |
16,28 % |
abrdn SICAV II - Global Equities Fund A thes. / A0MRSW / LU0152742630
|
100,00 % |
5,64 % |
16,82 % |
16,93 % |
12,68 % |
15,21 % |
abrdn SICAV II - Global Equities Fund D thes. / A0MRSX / LU0152742713
|
100,00 % |
6,43 % |
19,45 % |
21,34 % |
12,69 % |
15,22 % |
abrdn SICAV II - China Equities Fund A thes. / A0MRSE / LU0213068272
|
100,00 % |
-12,60 % |
-27,47 % |
-33,81 % |
26,12 % |
23,44 % |
abrdn SICAV II - China Equities Fund D thes. / A0MRSF / LU0213069320
|
100,00 % |
-11,78 % |
-25,40 % |
-30,63 % |
26,14 % |
23,45 % |
abrdn SICAV II - Euro Corporate Bond Fund A thes. / A0MRSB / LU0177497491
|
100,00 % |
-5,24 % |
-10,09 % |
-9,57 % |
6,20 % |
6,43 % |
abrdn SICAV II - Euro Corporate Bond Fund D thes. / A0MRSC / LU0177497814
|
100,00 % |
-4,72 % |
-8,62 % |
-7,09 % |
6,21 % |
6,44 % |
abrdn SICAV II - Gbl Real Estate Securities Sustain. A thes. / A0MRTF / LU0277137690
|
100,00 % |
-16,77 % |
5,39 % |
1,01 % |
16,49 % |
18,07 % |
abrdn SICAV II - Gbl Real Estate Securities Sustain. D thes. / A0MRTG / LU0277137773
|
100,00 % |
-16,10 % |
7,95 % |
5,10 % |
16,51 % |
18,08 % |
abrdn SICAV II - European Equities Fund A thes. / A0MRSH / LU0137279880
|
100,00 % |
10,40 % |
31,54 % |
19,22 % |
15,89 % |
17,32 % |
AS SICAV II - European Equities Fund D thes. / A0MRSJ / LU0137280037
|
100,00 % |
-2,11 % |
22,69 % |
20,46 % |
17,30 % |
15,57 % |
abrdn SICAV II - Japanese Equities Fund A thes. / A0MRS4 / LU0137295142
|
100,00 % |
2,10 % |
2,84 % |
-2,22 % |
14,93 % |
15,53 % |
abrdn SICAV II - Japanese Equities Fund D thes. / A0MRS5 / LU0137295654
|
100,00 % |
2,81 % |
5,10 % |
1,37 % |
15,00 % |
15,58 % |
abrdn SICAV II - European Smaller Companies Fund A thes. / A0M091 / LU0306632414
|
100,00 % |
-2,16 % |
17,43 % |
13,97 % |
23,20 % |
23,16 % |
abrdn SICAV II - European Smaller Companies Fund D thes. / A0M092 / LU0306632687
|
100,00 % |
-1,24 % |
20,78 % |
19,45 % |
23,22 % |
23,17 % |
SLI Global SICAV Indian Equity Midcap Opport. Fund A thes. / A0M09Z / LU0306632174
|
100,00 % |
-17,64 % |
-29,04 % |
-5,57 % |
31,42 % |
27,28 % |
SLI Global SICAV Indian Equity Midcap Opport. Fund D thes. / A0M090 / LU0306632331
|
100,00 % |
-16,87 % |
-27,02 % |
-1,03 % |
31,44 % |
27,30 % |
AS SICAV II - (SLI) Global Government Bond Fund A thes. / A0MRSU / LU0137296389
|
100,00 % |
-9,99 % |
6,15 % |
-2,37 % |
5,53 % |
5,25 % |
abrdn SICAV II - Gbl Inflation-Linked Governm. Bd A thes. / A0MRSY / LU0213069676
|
100,00 % |
-10,88 % |
-8,76 % |
8,77 % |
9,25 % |
9,17 % |
abrdn SICAV II - Gbl Inflation-Linked Governm. Bd D thes. / A0MRSZ / LU0213069759
|
100,00 % |
-10,49 % |
-7,43 % |
11,56 % |
9,26 % |
9,17 % |
SLI Global SICAV Euro Government All Stocks Fund A thes. / A0MRS9 / LU0255289216
|
22,00 % |
3,06 % |
4,81 % |
0,29 % |
3,77 % |
4,25 % |
SLI Global SICAV Euro Government All Stocks Fund D thes. / A0MRTA / LU0255289646
|
22,00 % |
4,13 % |
8,02 % |
5,60 % |
3,77 % |
4,24 % |
Aberdeen Global II - US Dollar High Yield Bond Fund I2 / A0NHQR / LU0304234296
|
100,00 % |
-4,21 % |
12,79 % |
32,18 % |
9,48 % |
8,14 % |
AS SICAV I - Asia Pacific Sustainable Equity I Acc USD / A0HL3A / LU0231477265
|
100,00 % |
-2,40 % |
17,05 % |
14,17 % |
15,32 % |
15,88 % |
AS SICAV I - Indian Equity Fund Z Acc USD / A0M8NK / LU0278911523
|
100,00 % |
1,10 % |
54,66 % |
33,35 % |
15,98 % |
19,05 % |
AS SICAV I - Global Sustainable Equity Fund I Acc USD / A0HMGM / LU0231482349
|
100,00 % |
7,42 % |
23,79 % |
29,06 % |
15,34 % |
16,07 % |
AS SICAV I - Emer. Markets Equity I Acc USD / A0HL3U / LU0231479717
|
100,00 % |
-1,87 % |
13,86 % |
4,81 % |
15,38 % |
17,20 % |
AS SICAV I - Asian Smaller Companies Fund I Acc USD / A0HMM7 / LU0231483313
|
100,00 % |
-5,40 % |
17,34 % |
6,78 % |
14,27 % |
16,83 % |
Aberdeen SLF (Lux) - Euro Fund J - 2 Acc / A0MUTL / LU0284583555
|
100,00 % |
1,21 % |
0,10 % |
-0,78 % |
0,29 % |
0,23 % |
AS SICAV I - Asian Property Share S Acc USD / A1CS3T / LU0476875439
|
100,00 % |
4,59 % |
-8,81 % |
3,91 % |
17,67 % |
14,55 % |
AS SICAV I - Asia Pacific Sustainable Equity S Acc USD / A1CS3X / LU0476875868
|
100,00 % |
-3,34 % |
13,73 % |
8,82 % |
15,30 % |
15,87 % |
AS SICAV I - European Sustainable Equity Fund S Acc EUR / A1CS3Z / LU0476876080
|
100,00 % |
14,53 % |
19,75 % |
35,41 % |
16,63 % |
16,29 % |
AS SICAV I - Japanese Sustainable Equity S Acc JPY / A1CS31 / LU0476876247
|
100,00 % |
2,09 % |
-1,04 % |
-1,76 % |
15,42 % |
15,69 % |
AS SICAV I - Japanese Sustainable Equity S Acc Hedged EUR / A1CS34 / LU0476876676
|
100,00 % |
14,25 % |
24,63 % |
12,26 % |
15,53 % |
16,78 % |
AS SICAV I - Japanese Smaller Comp. Sust. Eqty S Acc JPY / A1CS36 / LU0476876833
|
100,00 % |
-3,07 % |
-15,30 % |
-14,05 % |
15,99 % |
16,27 % |
AS SICAV I - Global Innovation Equity Fund S Acc USD / A1CS4A / LU0476877211
|
100,00 % |
9,06 % |
-3,68 % |
34,59 % |
19,62 % |
20,27 % |
AS SICAV I - Emer. Markets Equity S Acc USD / A1CS3Y / LU0476875942
|
100,00 % |
-2,81 % |
10,63 % |
-0,11 % |
15,36 % |
17,18 % |
AS SICAV I - All China Sustainable Equity Fund S Acc USD / A1CS30 / LU0476876163
|
100,00 % |
-12,35 % |
-17,61 % |
-16,96 % |
25,08 % |
22,75 % |
AS SICAV I - Japanese Sustainable Equity S Acc Hedged CHF / A1CS32 / LU0476876320
|
100,00 % |
19,84 % |
34,69 % |
32,09 % |
14,63 % |
16,13 % |
AS SICAV I - Asian Property Share A Acc USD / A0RE11 / LU0396313180
|
100,00 % |
5,03 % |
-7,66 % |
6,10 % |
17,67 % |
14,56 % |
AS SICAV I - Asian Property Share I Acc USD / A0RE19 / LU0396314071
|
100,00 % |
5,86 % |
-5,43 % |
10,39 % |
17,68 % |
14,56 % |
AS SICAV I - Asian Property Share A Acc Hedged EUR / A1CS3V / LU0476875603
|
100,00 % |
11,99 % |
-11,30 % |
0,49 % |
18,58 % |
15,63 % |
AS SICAV I - European Sustainable Equity Fund I Acc EUR / A0HL31 / LU0231472209
|
100,00 % |
15,93 % |
24,17 % |
43,87 % |
16,65 % |
16,31 % |
AS SICAV I - Global Innovation Equity Fund I Acc USD / A0HMF4 / LU0231481374
|
0,00 % |
10,39 % |
-0,13 % |
42,97 % |
19,64 % |
20,29 % |
AS SICAV I - All China Sustainable Equity Fund I Acc USD / A0HMS2 / LU0231484121
|
100,00 % |
-11,51 % |
-15,22 % |
-12,89 % |
25,10 % |
22,76 % |
AS SICAV I - Japanese Sustainable Equity I Acc JPY / A0HMFN / LU0231474593
|
100,00 % |
3,33 % |
2,61 % |
4,35 % |
15,44 % |
15,70 % |
AS SICAV I - Japanese Sustainable Equity A Acc Hedged CHF / A1CS33 / LU0476876593
|
100,00 % |
20,33 % |
36,35 % |
34,84 % |
14,64 % |
16,13 % |
AS SICAV I - Japanese Sustainable Equity A Acc Hedged EUR / A1CS35 / LU0476876759
|
100,00 % |
14,71 % |
26,03 % |
14,47 % |
15,53 % |
16,78 % |
AS SICAV I - Japanese Smaller Comp. Sust. Eqty I Acc JPY / A0MTAQ / LU0278930234
|
100,00 % |
-1,89 % |
-12,17 % |
-8,68 % |
16,01 % |
16,29 % |
AS SICAV I - Japanese Smaller Comp. Sust. Eqty A Acc Hdg EUR / A1CS38 / LU0476877054
|
100,00 % |
9,00 % |
8,02 % |
0,48 % |
15,89 % |
17,21 % |
AS SICAV I - American Focused Equity Fund A Acc GBP / A0HL23 / LU0231454991
|
100,00 % |
-13,74 % |
9,28 % |
46,28 % |
17,02 % |
16,45 % |
AS SICAV I - American Focused Equity Fund I Acc USD / A0HL25 / LU0231476457
|
100,00 % |
-12,52 % |
12,54 % |
52,98 % |
17,07 % |
16,18 % |
AS SICAV I - Select Euro High Yield Bd I Acc EUR / A0HL35 / LU0231473439
|
100,00 % |
1,84 % |
10,14 % |
5,76 % |
8,52 % |
10,50 % |
AS SICAV II - European Focused Equity Fund A thes. / A0NCPQ / LU0343755343
|
100,00 % |
-5,95 % |
14,92 % |
17,25 % |
19,30 % |
16,82 % |
AS SICAV II - European Focused Equity Fund D thes. / A0NCPS / LU0343755939
|
100,00 % |
-1,50 % |
26,56 % |
17,73 % |
16,46 % |
14,96 % |
AS SICAV I - Latin American Equity Fund A Acc USD / A0RE2B / LU0396314238
|
100,00 % |
0,13 % |
33,49 % |
0,03 % |
24,66 % |
29,37 % |
AS SICAV I - Latin American Equity Fund I Acc USD / A0RE2K / LU0396315128
|
100,00 % |
0,92 % |
36,67 % |
4,05 % |
24,69 % |
29,39 % |
AS SICAV I - Latin American Equity Fund S Acc USD / A1CS3W / LU0476875785
|
100,00 % |
-0,04 % |
32,82 % |
-0,80 % |
24,66 % |
29,37 % |
AS SICAV I - Emer. Markets Equity Z Acc USD / A0M1R9 / LU0278911010
|
100,00 % |
-0,88 % |
17,33 % |
10,20 % |
15,39 % |
17,21 % |
AS SICAV I - Eastern European Equity Fund I Acc EUR / A1CY8W / LU0505785187
|
100,00 % |
-71,14 % |
-61,97 % |
-60,49 % |
- |
- |
AS SICAV I - Eastern European Equity Fund S Acc EUR / A1CY8X / LU0505785005
|
100,00 % |
-71,46 % |
-63,29 % |
-62,77 % |
- |
- |
AS SICAV I - World Resources Equity S Acc USD / A1CY81 / LU0505784297
|
100,00 % |
-6,87 % |
56,16 % |
26,67 % |
15,80 % |
19,22 % |
AS SICAV I - Russian Equity Fund I Acc EUR / A1CY89 / LU0505785344
|
100,00 % |
30,52 % |
43,92 % |
74,06 % |
25,60 % |
21,03 % |
AS SICAV I - European Equity Div. I Acc EUR / A1CY84 / LU0505783646
|
100,00 % |
4,68 % |
26,40 % |
39,06 % |
17,43 % |
15,18 % |
AS SICAV I - European Equity Div. S Acc EUR / A1CY85 / LU0505783562
|
100,00 % |
3,42 % |
21,89 % |
30,90 % |
17,41 % |
15,17 % |
AS SICAV I - European Equity Div. A AInc EUR / A1CY8S / LU0505661883
|
100,00 % |
3,86 % |
23,34 % |
33,58 % |
17,41 % |
15,17 % |
AS SICAV I - European Equity Div. A Acc EUR / A1CY8R / LU0505661966
|
100,00 % |
3,86 % |
23,44 % |
33,68 % |
17,42 % |
15,17 % |
AS SICAV I - European Equity Div. A Acc Hedged CHF / A1CY8Q / LU0505662006
|
100,00 % |
9,62 % |
36,46 % |
55,75 % |
17,19 % |
15,16 % |
AS SICAV I - European Equity Div. A Acc Hedged USD / A1CY8P / LU0505662188
|
100,00 % |
16,40 % |
36,85 % |
68,86 % |
17,56 % |
15,48 % |
AS SICAV I - World Resources Equity I Acc USD / A1CY8Z / LU0505784701
|
100,00 % |
-5,97 % |
60,70 % |
32,89 % |
15,82 % |
19,24 % |
AS SICAV I - World Resources Equity S Acc Hedged EUR / A1CY8Y / LU0505784883
|
100,00 % |
-9,57 % |
42,93 % |
1,89 % |
19,98 % |
21,83 % |
AS SICAV I - World Resources Equity A Acc USD / A1CY7Z / LU0505663152
|
100,00 % |
-6,47 % |
58,14 % |
29,36 % |
15,81 % |
19,23 % |
AS SICAV I - World Resources Equity A Acc Hedged CHF / A1CY8D / LU0505663236
|
100,00 % |
-4,48 % |
56,64 % |
22,68 % |
18,38 % |
20,84 % |
AS SICAV I - World Resources Equity A Acc Hedged EUR / A1CY8B / LU0505663400
|
100,00 % |
-9,20 % |
44,74 % |
4,03 % |
19,99 % |
21,84 % |
AS SICAV I - World Resources Equity A Acc EUR / A1CY77 / LU0505663822
|
100,00 % |
-6,32 % |
57,94 % |
29,84 % |
15,91 % |
19,24 % |
AS SICAV I - Eastern European Equity Fund A Acc EUR / A1CY71 / LU0505664713
|
100,00 % |
-71,35 % |
-62,84 % |
-62,00 % |
- |
- |
AS SICAV I - Russian Equity Fund S Acc EUR / A1CY8V / LU0505785260
|
100,00 % |
29,27 % |
39,84 % |
65,89 % |
25,58 % |
21,02 % |
AS SICAV I - Russian Equity Fund A Acc EUR / A1CY9E / LU0505665959
|
100,00 % |
29,49 % |
40,55 % |
67,31 % |
25,58 % |
21,02 % |
AS SICAV I - Emer. Markets Equity A Acc EUR / A1C5UV / LU0498181733
|
100,00 % |
-2,49 % |
11,06 % |
1,10 % |
15,52 % |
17,23 % |
AS SICAV I - Emerg. Markets Smaller Companies I Acc USD / A0MUMQ / LU0278915607
|
100,00 % |
2,77 % |
40,96 % |
26,38 % |
14,27 % |
18,25 % |
Aberdeen Global II - Euro Short Term Bond Fund A1 / A1C1E9 / LU0513839406
|
100,00 % |
-0,21 % |
0,24 % |
0,14 % |
0,56 % |
0,58 % |
Aberdeen Global II - Euro Short Term Bond Fund A2 / A1C1FA / LU0513839588
|
100,00 % |
-0,21 % |
0,24 % |
0,14 % |
0,56 % |
0,58 % |
Aberdeen Global II - US Dollar Short Term Bond Fund A1 / A1C1AZ / LU0513445881
|
100,00 % |
-7,80 % |
7,14 % |
11,46 % |
8,51 % |
7,69 % |
Aberdeen Global II - US Dollar Short Term Bond Fund A2 / A1C1A0 / LU0513445964
|
100,00 % |
-8,22 % |
6,65 % |
10,95 % |
8,51 % |
7,69 % |
Aberdeen Global II - Euro Government Bond Fund A1 / A1C1EB / LU0513834357
|
100,00 % |
1,91 % |
4,94 % |
17,61 % |
4,99 % |
4,46 % |
Aberdeen Global II - Euro Government Bond Fund A2 / A1C1EC / LU0513834514
|
100,00 % |
1,91 % |
4,94 % |
17,61 % |
4,99 % |
4,46 % |
Aberdeen Global II - US Dollar Bond Fund A - 1 Inc / A1C1DX / LU0513831254
|
100,00 % |
-14,46 % |
-7,79 % |
11,16 % |
7,69 % |
8,67 % |
Aberdeen Global II - US Dollar Bond Fund A - 2 Acc / A1C1DY / LU0513831411
|
100,00 % |
-14,63 % |
-7,98 % |
10,93 % |
7,69 % |
8,67 % |
Aberdeen Global II - Emerging Europe Bond Fund A2 / A1C1DH / LU0513828979
|
100,00 % |
7,93 % |
-4,18 % |
11,63 % |
9,80 % |
9,98 % |
Aberdeen Global II - Euro High Yield Bond Fund A2 / A1C1BV / LU0513451269
|
100,00 % |
6,26 % |
17,72 % |
56,95 % |
3,82 % |
5,79 % |
Aberdeen Global II - European Convertibles Bond Fund A2 / A1C1C3 / LU0513460179
|
100,00 % |
-0,58 % |
4,38 % |
17,87 % |
6,68 % |
5,78 % |
AS SICAV I - Select EM Bond A Acc Hedged EUR / A1C4LB / LU0376989207
|
100,00 % |
-5,24 % |
-15,31 % |
-21,48 % |
11,97 % |
13,35 % |
Aberdeen Global II - Sterling Bond Fund A1 / A0NHT7 / LU0304259285
|
100,00 % |
-5,32 % |
17,80 % |
40,14 % |
8,76 % |
9,10 % |
Aberdeen Global II - Sterling Bond Fund A2 / A0NHR6 / LU0304241077
|
100,00 % |
-5,32 % |
17,80 % |
40,10 % |
8,76 % |
9,10 % |
Aberdeen Global II - Australian Dollar Bond Fund A - 1 Inc / A1C1B9 / LU0513454362
|
100,00 % |
-9,33 % |
-8,89 % |
-8,79 % |
7,63 % |
8,80 % |
Aberdeen Global II - Australian Dollar Bond Fund A - 2 Acc / A1C1CA / LU0513454529
|
100,00 % |
-9,54 % |
-9,11 % |
-9,02 % |
7,63 % |
8,80 % |
Aberdeen Global II - Canadian Dollar Bond Fund A - 1 Inc / A1C1CP / LU0513457464
|
100,00 % |
-12,84 % |
-12,30 % |
-9,91 % |
7,19 % |
7,16 % |
Aberdeen Global II - Canadian Dollar Bond Fund A - 2 Acc / A1C1CQ / LU0513457548
|
100,00 % |
-12,84 % |
-12,31 % |
-9,92 % |
7,19 % |
7,16 % |
Aberdeen Global II - Asia Pacific Multi Asset Fd A2 / A1C1ER / LU0513837459
|
100,00 % |
5,74 % |
17,04 % |
24,39 % |
10,01 % |
9,03 % |
Aberdeen Global II - Asia Pacific Multi Asset Fd A2 CHF / A1C1ES / LU0513837616
|
100,00 % |
6,48 % |
8,91 % |
10,38 % |
13,54 % |
11,34 % |
Aberdeen Global II - Asia Pacific Multi Asset Fd A2 EUR / A1C1ET / LU0513837707
|
100,00 % |
15,72 % |
7,31 % |
9,06 % |
8,43 % |
7,74 % |
Aberdeen Global II - Asian Bond Fund A - 1 Inc / A1C1BD / LU0513447663
|
100,00 % |
1,53 % |
4,97 % |
23,16 % |
6,67 % |
7,79 % |
Aberdeen Global II - Asian Bond Fund A - 2 Acc / A1C1BE / LU0513447820
|
100,00 % |
-0,08 % |
3,32 % |
21,22 % |
6,68 % |
7,79 % |
Aberdeen Global II - Asian Bond Fund A (EUR) - 2 Acc / A1C1BG / LU0513448471
|
100,00 % |
-0,85 % |
0,99 % |
0,71 % |
6,12 % |
5,84 % |
Aberdeen Global II - Asian Bond Fund I - 2 Acc / A1C1BF / LU0513448125
|
100,00 % |
0,45 % |
5,00 % |
24,52 % |
6,68 % |
7,80 % |
Aberdeen Global II - Sterling Bond Fund J2 / A0NHSB / LU0304241747
|
100,00 % |
-4,95 % |
19,30 % |
43,30 % |
8,76 % |
9,11 % |
AS SICAV I - Select EM Bond I Acc USD / A0HMFS / LU0231480137
|
0,00 % |
-2,55 % |
-6,78 % |
-0,87 % |
8,53 % |
11,67 % |
AS SICAV I - Select EM Bond A Acc Hedged CHF / A1C4LA / LU0487189069
|
100,00 % |
-0,66 % |
-8,68 % |
-8,21 % |
11,03 % |
12,98 % |
Aberdeen Global II - Euro High Yield Bond Fund I2 / A1C1BW / LU0513451426
|
100,00 % |
7,04 % |
20,22 % |
62,01 % |
3,82 % |
5,79 % |
Aberdeen Global II - European Convertibles Bond Fund I2 / A1C1C4 / LU0513460336
|
100,00 % |
-0,05 % |
6,07 % |
21,08 % |
6,68 % |
5,78 % |
Aberdeen Global II - US Dollar Bond Fund J - 2 Acc / A1C1DZ / LU0513831684
|
0,00 % |
-14,26 % |
-6,76 % |
13,40 % |
7,69 % |
8,67 % |
Aberdeen Global II - Euro Government Bond Fund J2 / A1C1ED / LU0513834787
|
0,00 % |
2,30 % |
6,25 % |
20,13 % |
4,99 % |
4,46 % |
Aberdeen Global II - Euro Short Term Bond Fund J2 / A1C1FB / LU0513839661
|
0,00 % |
0,08 % |
1,12 % |
1,89 % |
0,56 % |
0,58 % |
AS SICAV I - Emerg. Markets Loc. Currency Bd A Acc USD / A0RE3H / LU0396317926
|
100,00 % |
1,40 % |
-6,39 % |
0,89 % |
10,96 % |
10,11 % |
AS SICAV I - EM Infrastru. Equity S Acc USD / A1C646 / LU0523221975
|
100,00 % |
-7,42 % |
5,20 % |
-8,11 % |
11,00 % |
14,47 % |
AS SICAV I - EM Infrastru. Equity S Acc Hedged EUR / A1C7AJ / LU0523222866
|
100,00 % |
-9,41 % |
-2,25 % |
-24,99 % |
15,18 % |
17,10 % |
AS SICAV I - EM Infrastru. Equity N QInc JPY / A1C72J / LU0523222510
|
100,00 % |
-7,35 % |
9,18 % |
4,06 % |
16,49 % |
14,38 % |
AS SICAV I - EM Infrastru. Equity I Acc USD / A1C72H / LU0523222270
|
100,00 % |
-6,53 % |
8,27 % |
-3,59 % |
11,01 % |
14,48 % |
AS SICAV I - EM Infrastru. Equity I Acc Hedged EUR / A1C72L / LU0523223088
|
100,00 % |
-9,12 % |
-0,06 % |
-21,78 % |
15,29 % |
17,16 % |
Aberdeen Global - Select Euro High Yield Bd D2 BaCuExp GBP / A1C5FB / LU0542840474
|
100,00 % |
0,44 % |
8,17 % |
24,64 % |
10,83 % |
9,38 % |
abrdn SICAV II - Global Equities Fund A EUR thes. / A0RFNB / LU0409055612
|
100,00 % |
5,82 % |
16,84 % |
16,92 % |
12,63 % |
15,24 % |
AS SICAV II - European Focused Equity Fund A GBP th. / A0NCPR / LU0343755772
|
100,00 % |
-6,07 % |
14,43 % |
17,11 % |
19,28 % |
16,88 % |
abrdn SICAV II - Euro Corporate Bond Fund A auss. / A0PCZZ / LU0277136965
|
100,00 % |
-5,24 % |
-10,09 % |
-9,55 % |
6,20 % |
6,43 % |
abrdn SICAV II - Global High Yield Bond Fund A thes. / A0YBUR / LU0455263565
|
100,00 % |
-0,12 % |
5,84 % |
12,52 % |
7,01 % |
9,68 % |
abrdn SICAV II - Global Absol. Return Strategies A thes / A1H5Z0 / LU0548153104
|
100,00 % |
-10,40 % |
-13,03 % |
-13,38 % |
4,79 % |
4,71 % |
abrdn SICAV II - Global Absol. Return Strategies A auss / A1H5Z1 / LU0548153443
|
100,00 % |
-10,40 % |
-12,83 % |
-13,19 % |
4,76 % |
4,69 % |
abrdn SICAV II - Global Absol. Return Strategies D thes / A1H5Z2 / LU0548153799
|
100,00 % |
-9,69 % |
-10,95 % |
-9,91 % |
4,80 % |
4,72 % |
abrdn SICAV II - Global Absol. Return Strategies D auss / A1H5Z3 / LU0548153955
|
100,00 % |
-9,69 % |
-10,95 % |
-9,90 % |
4,80 % |
4,71 % |
AS SICAV I - Emer. Markets Equity A Acc Hedged CHF / A1C179 / LU0510758203
|
100,00 % |
-0,46 % |
10,31 % |
-4,11 % |
19,27 % |
19,86 % |
AS SICAV I - Select Euro High Yield Bd A Acc Hedged USD / A0M5A2 / LU0323164250
|
100,00 % |
2,90 % |
15,19 % |
23,06 % |
8,29 % |
10,74 % |
AS SICAV I - Select Euro High Yield Bd A Acc Hedged GBP / A0RFKJ / LU0411469827
|
100,00 % |
1,02 % |
14,01 % |
8,44 % |
11,10 % |
13,59 % |
AS SICAV I - Select Euro High Yield Bd A MInc Hdg GBP / A0RFKH / LU0411469744
|
100,00 % |
1,05 % |
13,89 % |
8,19 % |
11,11 % |
13,61 % |
AS SICAV I - EM Infrastru. Equity A Acc Hedged CHF / A1C8PB / LU0523223674
|
100,00 % |
-4,92 % |
5,82 % |
-11,29 % |
14,12 % |
16,35 % |
AS SICAV I - EM Infrastru. Equity A Acc Hedged EUR / A1C8PA / LU0523223328
|
100,00 % |
-9,25 % |
-1,67 % |
-24,28 % |
15,18 % |
17,11 % |
AS SICAV I - Indian Equity Fund I Acc USD / A0HMTZ / LU0231490953
|
100,00 % |
0,09 % |
50,09 % |
26,83 % |
15,97 % |
19,04 % |
AS SICAV I - EM Infrastru. Equity A Acc USD / A1C8PC / LU0523223757
|
100,00 % |
-7,26 % |
5,73 % |
-7,32 % |
11,00 % |
14,47 % |
AS SICAV I - Responsible World Equity Fund A Acc USD / A0M5A5 / LU0278938138
|
100,00 % |
4,24 % |
32,74 % |
34,83 % |
8,80 % |
11,85 % |
AS SICAV I - Global Sustainable Equity Fund A Acc EUR / A1C178 / LU0498189041
|
100,00 % |
6,75 % |
21,16 % |
25,57 % |
15,31 % |
16,02 % |
Aberdeen Global II - Global Government Bond Fund D - 1 Inc / A0NHQB / LU0304232241
|
100,00 % |
-7,27 % |
-8,76 % |
4,77 % |
5,74 % |
6,22 % |
Aberdeen Global II - Sterling Government Bond Fund D1 / A0NHSH / LU0304243107
|
100,00 % |
-3,02 % |
22,38 % |
51,86 % |
9,77 % |
10,78 % |
Aberdeen Global II - Sterling Government Bond Fund D2 / A0NHSJ / LU0304243289
|
100,00 % |
-3,02 % |
22,38 % |
51,82 % |
9,77 % |
10,78 % |
AS SICAV I - Emerg. Markets Loc. Currency Bd A MInc USD / A0RE3G / LU0396317843
|
100,00 % |
1,41 % |
-6,37 % |
0,73 % |
10,96 % |
10,10 % |
AS SICAV I - Asian Loc Curr. Shrt Term Bd A Acc Hdg EUR / A1JAS8 / LU0619785693
|
100,00 % |
-8,13 % |
-1,99 % |
-6,03 % |
5,74 % |
5,21 % |
AS SICAV I - Emerging Markets Corporate Bond A MInc USD / A1JFG3 / LU0566480033
|
100,00 % |
-1,88 % |
-0,37 % |
10,29 % |
7,34 % |
10,18 % |
AS SICAV I - Emerging Markets Corporate Bond A Acc USD / A1JFG4 / LU0566480116
|
100,00 % |
-1,88 % |
-0,36 % |
10,29 % |
7,34 % |
10,18 % |
AS SICAV I - Emerging Markets Corporate Bond I Acc USD / A1JAHY / LU0566481197
|
0,00 % |
-1,10 % |
2,02 % |
14,75 % |
7,35 % |
10,19 % |
AS SICAV I - Asian Loc Curr. Shrt Term Bd A Acc EUR / A1JAS7 / LU0498180503
|
100,00 % |
8,21 % |
12,88 % |
20,59 % |
5,41 % |
4,91 % |
AS SICAV I - North Amer. Sm. Comp. I Acc USD / A1H471 / LU0566484704
|
100,00 % |
3,16 % |
36,06 % |
47,83 % |
17,18 % |
21,19 % |
AS SICAV I - Asian Loc Curr. Shrt Term Bd A Acc GBP / A0HL3C / LU0231455881
|
100,00 % |
8,37 % |
12,46 % |
20,66 % |
6,25 % |
5,43 % |
AS SICAV I - Asian Loc Curr. Shrt Term Bd I Acc USD / A0HL3E / LU0231477935
|
0,00 % |
9,07 % |
14,87 % |
23,84 % |
5,61 % |
4,99 % |
AS SICAV I - Emerg. Markets Loc. Currency Bd I Acc USD / A0RE3R / LU0396318908
|
100,00 % |
2,19 % |
-4,15 % |
4,93 % |
10,96 % |
10,11 % |
AS SICAV I - Emer. Markets Equity A AInc USD / A0HL3Q / LU0231479394
|
100,00 % |
-2,65 % |
11,20 % |
0,75 % |
15,36 % |
17,18 % |
abrdn SICAV II - Abs. Ret. Gbl. Bond Strategies A EUR H thes / A1JBEF / LU0548158160
|
100,00 % |
-4,13 % |
-11,75 % |
-13,05 % |
2,99 % |
3,54 % |
abrdn SICAV II - Abs. Ret. Gbl. Bond Strategies D EUR thes / A1JBEG / LU0548159994
|
100,00 % |
-3,46 % |
-9,87 % |
-10,00 % |
2,98 % |
3,53 % |
abrdn SICAV II - Abs. Ret. Gbl. Bond Strategies A GBP thes / A1H6U1 / LU0548156891
|
100,00 % |
-4,07 % |
-6,48 % |
-6,94 % |
5,38 % |
6,90 % |
abrdn SICAV II - Abs. Ret. Gbl. Bond Strategies D GBP thes / A1H6U2 / LU0548158830
|
100,00 % |
-3,41 % |
-4,54 % |
-3,70 % |
5,39 % |
6,91 % |
Aberdeen Global II - Sterling Long Dated Government Bond I2 / A0NHRP / LU0304239170
|
100,00 % |
-0,80 % |
35,11 % |
- |
12,12 % |
- |
AS SICAV I - Responsible World Equity Fund I Acc USD / A0M5A4 / LU0278916670
|
0,00 % |
4,82 % |
34,95 % |
38,50 % |
8,81 % |
11,86 % |
AS SICAV I - Asia Pacific Sustainable Equity A Acc EUR / A1H5E3 / LU0498180339
|
100,00 % |
-3,01 % |
14,18 % |
10,16 % |
15,48 % |
15,94 % |
AS SICAV I - Asia Pacific Sustainable Equity A Acc H EUR / A1H5E5 / LU0566486402
|
100,00 % |
-5,79 % |
4,87 % |
-11,13 % |
19,84 % |
19,22 % |
AS SICAV I - Asia Pacific Sustainable Equity I Acc H EUR / A1JXZV / LU0726980377
|
100,00 % |
-5,05 % |
7,39 % |
-7,48 % |
19,86 % |
19,23 % |
AS SICAV I - Asian Loc Curr. Shrt Term Bd A QInc GBP / A0HL3B / LU0231455709
|
22,00 % |
5,13 % |
3,65 % |
7,68 % |
5,29 % |
6,69 % |
AS SICAV I - Brazil Equity Fund S Acc USD / A1JYEA / LU0743790957
|
100,00 % |
-36,33 % |
-35,00 % |
24,50 % |
35,80 % |
33,65 % |
AS SICAV I - Brazil Equity Fund A Acc USD / A1JYDS / LU0728926402
|
100,00 % |
-36,23 % |
-34,68 % |
25,55 % |
35,80 % |
33,66 % |
AS SICAV I - World Smaller Companies Fund A Acc USD / A1J3M2 / LU0728928796
|
100,00 % |
9,07 % |
32,71 % |
47,55 % |
16,15 % |
18,55 % |
AS SICAV I - World Smaller Companies Fund A Acc EUR / A1J3M4 / LU0728929174
|
100,00 % |
9,26 % |
32,57 % |
48,12 % |
16,24 % |
18,56 % |
AS SICAV I - World Smaller Companies Fund I Acc USD / A1J3M3 / LU0728929331
|
100,00 % |
9,67 % |
34,88 % |
51,59 % |
16,16 % |
18,55 % |
AS SICAV I - All China Sustainable Equity Fund A Acc Hdg EUR / A1J8EG / LU0854914826
|
100,00 % |
-14,39 % |
-23,87 % |
-32,08 % |
28,77 % |
25,49 % |
AS SICAV I - Emer. Markets Equity X AInc USD / A1J6F9 / LU0837972669
|
100,00 % |
-1,91 % |
13,72 % |
4,60 % |
15,38 % |
17,20 % |
AS SICAV I - Emer. Markets Equity X Acc EUR / A1J6GB / LU0837973121
|
100,00 % |
-1,76 % |
13,58 % |
4,98 % |
15,53 % |
17,24 % |
AS SICAV I - Japanese Sustainable Equity X Acc EUR / A1J6N7 / LU0837978518
|
100,00 % |
3,59 % |
2,57 % |
4,57 % |
15,57 % |
15,79 % |
AS SICAV I - Japanese Sustainable Equity X Acc JPY / A1J6N6 / LU0837978278
|
100,00 % |
3,29 % |
2,50 % |
4,17 % |
15,44 % |
15,70 % |
Aberdeen Global II - US Dollar High Yield Bond Fund Z2 / A0NHQZ / LU0304235699
|
100,00 % |
2,28 % |
- |
- |
- |
- |
Aberdeen Global II - US Dollar High Yield Bond Fund I2 EUR / A0NHQS / LU0304234379
|
100,00 % |
5,03 % |
2,92 % |
- |
6,40 % |
- |
AS SICAV I - Latin American Equity Fund A Acc EUR / A0RE2F / LU0396314667
|
100,00 % |
0,41 % |
33,38 % |
0,39 % |
24,72 % |
29,36 % |
AS SICAV I - Global Sustainable Equity Fund A AInc GBP / A0HMGJ / LU0231458802
|
100,00 % |
6,62 % |
20,99 % |
25,23 % |
15,24 % |
16,24 % |
AS SICAV I - Japanese Sustainable Equity I Acc Hedged USD / A1W6C4 / LU0912262945
|
100,00 % |
18,01 % |
39,20 % |
44,35 % |
16,14 % |
17,01 % |
AS SICAV I - Frontier Markets Bond Fund A MInc USD / A1W5Y8 / LU0963865083
|
100,00 % |
-3,19 % |
2,03 % |
10,06 % |
10,43 % |
11,78 % |
AS SICAV I - Asia Pacific Sustainable Equity X Acc USD / A1J6FG / LU0837965291
|
0,00 % |
-2,44 % |
16,91 % |
13,95 % |
15,32 % |
15,88 % |
AS SICAV I - Asia Pacific Sustainable Equity X Acc EUR / A1J6FH / LU0837965457
|
0,00 % |
-2,28 % |
16,77 % |
14,36 % |
15,49 % |
15,95 % |
AS SICAV I - Emer. Markets Equity X Acc USD / A1J6GA / LU0837972826
|
100,00 % |
-1,91 % |
13,73 % |
4,60 % |
15,38 % |
17,19 % |
AS SICAV I - Emerg. Markets Smaller Companies X Acc USD / A1J6GH / LU0837974525
|
0,00 % |
2,58 % |
40,17 % |
25,18 % |
14,27 % |
18,25 % |
AS SICAV I - Emerg. Markets Smaller Companies X Acc EUR / A1J6GJ / LU0837974871
|
0,00 % |
2,76 % |
40,01 % |
25,64 % |
14,41 % |
18,29 % |
AS SICAV I - Japanese Sustainable Equity X Acc Hedged EUR / A1XCF5 / LU0998644354
|
0,00 % |
15,51 % |
29,03 % |
18,97 % |
15,55 % |
16,79 % |
abrdn SICAV II - Global Absol. Return Strategies D USD t. / A1H99X / LU0548154847
|
100,00 % |
-8,49 % |
-5,46 % |
7,41 % |
7,85 % |
7,14 % |
abrdn SICAV II - Global Absol. Return Strategies A USD t. / A1H99W / LU0548154680
|
100,00 % |
-9,24 % |
-7,68 % |
3,13 % |
7,86 % |
7,15 % |
AS SICAV I - Asia Pacific Sustainable Equity A AInc USD / A0HL26 / LU0231476960
|
100,00 % |
-3,17 % |
14,31 % |
9,75 % |
15,31 % |
15,87 % |
Aberdeen Global II - US Dollar High Yield Bond Fund A2 / A0NHQL / LU0304233488
|
100,00 % |
-4,86 % |
10,55 % |
- |
9,47 % |
- |
abrdn SICAV II - Emerging Markets Focused Equity Fund A thes / A1JZCB / LU0778371244
|
100,00 % |
- |
- |
- |
- |
- |
abrdn SICAV II - Emerging Markets Focused Equity Fund D thes / A1JZCC / LU0778371327
|
100,00 % |
- |
- |
- |
- |
- |
abrdn SICAV II - Global Absol. Return Strategies A GBP t. / A1H99Y / LU0621233898
|
100,00 % |
-10,50 % |
-8,35 % |
-8,35 % |
6,22 % |
7,23 % |
abrdn SICAV II - Global Corporate Bond Fund A thes. / A1JBWW / LU0636596651
|
100,00 % |
-3,74 % |
-7,65 % |
9,43 % |
6,65 % |
7,93 % |
AS SICAV I - GDP Weighted Gbl Government Bd A Acc USD / A1W5VX / LU0963865323
|
22,00 % |
-5,75 % |
-11,88 % |
1,63 % |
5,88 % |
5,76 % |
AS SICAV I - GDP Weighted Gbl Government Bd A Acc EUR / A1W5VY / LU0963897870
|
22,00 % |
-5,60 % |
-12,00 % |
1,99 % |
5,77 % |
5,70 % |
AS SICAV I - Japanese Sustainable Equity A Acc Hedged USD / A1WZC0 / LU0912262788
|
100,00 % |
16,91 % |
35,69 % |
38,58 % |
16,14 % |
16,99 % |
AS SICAV I - Asian Smaller Companies Fund A AInc EUR / A1XBWX / LU0498180685
|
100,00 % |
-6,00 % |
14,46 % |
3,03 % |
14,45 % |
16,89 % |
AS SICAV I - Japanese Smaller Comp. Sust. Eqty I Acc Hdg EUR / A1XEYZ / LU1031141283
|
100,00 % |
9,86 % |
10,69 % |
4,58 % |
15,89 % |
17,21 % |
AS SICAV I - GDP Weighted Gbl Government Bd A SInc USD / A1128R / LU0972117013
|
100,00 % |
10,28 % |
10,90 % |
13,94 % |
4,92 % |
5,39 % |
AS SICAV I - GDP Weighted Gbl Government Bd A SInc EUR / A1128S / LU0963865679
|
100,00 % |
-5,61 % |
-12,01 % |
1,98 % |
5,77 % |
5,70 % |
abrdn SICAV II - China Equities Fund A EUR thes. / A0RFND / LU0409055885
|
100,00 % |
-12,53 % |
-27,60 % |
-33,85 % |
26,26 % |
23,51 % |
Aberdeen SLF (Lux) - Canadian Dollar Fd I - 2 Acc / 934102 / LU0108938795
|
100,00 % |
-0,47 % |
8,91 % |
16,49 % |
6,99 % |
6,51 % |
Aberdeen SLF (Lux) - Euro Fund I - 2 Acc / 934103 / LU0108940346
|
100,00 % |
1,21 % |
0,10 % |
-0,77 % |
0,29 % |
0,23 % |
Aberdeen SLF (Lux) - Sterling Fund I - 2 Acc / 934101 / LU0108940692
|
100,00 % |
0,57 % |
5,25 % |
4,87 % |
5,24 % |
5,31 % |
Aberdeen SLF (Lux) - US Dollar Fund I - 2 Acc / 934105 / LU0108940858
|
100,00 % |
2,67 % |
5,19 % |
17,34 % |
7,99 % |
6,86 % |
AS SICAV I - Indian Equity Fund A Acc EUR / A1T8AH / LU0498184596
|
100,00 % |
-0,54 % |
46,42 % |
22,38 % |
15,93 % |
19,00 % |
Aberdeen Global II - US Dollar High Yield Bond Fund A1 / A0NHTX / LU0304258121
|
100,00 % |
-4,86 % |
10,57 % |
- |
9,47 % |
- |
Aberdeen Global II - US Dollar High Yield Bond Fund A2 EUR / A1WZUS / LU0924022667
|
100,00 % |
4,17 % |
0,79 % |
- |
6,40 % |
- |
Aberdeen Global II - Global High Yield Bond Fund A1 EUR / A1XDP8 / LU1016763408
|
100,00 % |
5,69 % |
- |
- |
- |
- |
AS SICAV I - Frontier Markets Equity Fund Z Acc USD / A1J2SK / LU0566482328
|
100,00 % |
-7,85 % |
-20,96 % |
-5,85 % |
- |
- |
AS SICAV I - Japanese Smaller Comp. Sust. Eqty A Acc Hdg USD / A1W1LX / LU0941570995
|
100,00 % |
10,91 % |
16,12 % |
21,27 % |
17,32 % |
17,96 % |
AS SICAV I - American Focused Equity Fund Z Acc USD / A0NDZC / LU0278906952
|
22,00 % |
-11,85 % |
15,12 % |
58,84 % |
17,08 % |
16,19 % |
AS SICAV I - Emer. Markets Equity X Acc GBP / A1J6F8 / LU0837972404
|
22,00 % |
-1,88 % |
13,42 % |
4,69 % |
15,33 % |
17,42 % |
abrdn SICAV II - Global Absol. Return Strategies A SGD H / A1W0QZ / LU0945074135
|
22,00 % |
-7,85 % |
-3,60 % |
0,36 % |
5,74 % |
6,09 % |
abrdn SICAV II - Global Absol. Return Strategies A CHF H / A1J0ET / LU0799094759
|
22,00 % |
-6,27 % |
-6,82 % |
0,41 % |
6,79 % |
6,55 % |
AS SICAV II - Global Absol. Return Strategies A JPY H / A1H992 / LU0621234433
|
22,00 % |
-17,29 % |
-19,50 % |
-20,78 % |
7,31 % |
6,57 % |
abrdn SICAV II - Global Absol. Return Strategies A SEK H / A1H990 / LU0621234193
|
22,00 % |
-17,59 % |
-19,49 % |
-22,71 % |
8,11 % |
8,23 % |
AS SICAV I - Japanese Smaller Comp. Sust. Eqty X Acc Hdg EUR / A1XBWW / LU0998665607
|
0,00 % |
9,84 % |
10,53 % |
4,30 % |
15,89 % |
17,21 % |
AS SICAV I - Frontier Markets Bond Fund I Acc USD / A1XEC0 / LU1003376065
|
100,00 % |
-2,67 % |
3,69 % |
13,08 % |
10,44 % |
11,79 % |
AS SICAV I - Frontier Markets Bond Fund I MInc USD / A1W5Y9 / LU0963865240
|
100,00 % |
-2,67 % |
3,69 % |
13,07 % |
10,44 % |
11,79 % |
abrdn SICAV II - Abs. Ret. Gbl. Bond Strategies D USD H th / A1W20T / LU0548159481
|
22,00 % |
-2,17 % |
-4,18 % |
7,57 % |
8,21 % |
7,52 % |
abrdn SICAV II - Euro Corporate Bond Fund D GBP H th / A1JTPH / LU0741090046
|
22,00 % |
-4,99 % |
-3,92 % |
-1,77 % |
9,36 % |
9,89 % |
abrdn SICAV II - Global Absol. Return Strategies D GBP H t. / A1H99Z / LU0621233971
|
22,00 % |
-9,80 % |
-6,17 % |
-4,68 % |
6,23 % |
7,24 % |
abrdn SICAV II - Global Absol. Return Strategies D JPY H t. / A1H993 / LU0621234607
|
22,00 % |
-20,13 % |
-30,87 % |
-24,21 % |
8,01 % |
7,76 % |
abrdn SICAV II - Global Absol. Return Strategies D NZD H t. / A1H7TV / LU0894986198
|
22,00 % |
- |
- |
- |
- |
- |
abrdn SICAV II - Global Absol. Return Strategies D SGD H t. / A1JZCE / LU0783366338
|
22,00 % |
-7,12 % |
-1,37 % |
4,48 % |
5,74 % |
6,11 % |
abrdn SICAV II - Global Absol. Return Strategies D SEK H t. / A1H991 / LU0621234359
|
22,00 % |
-16,93 % |
-17,55 % |
-19,59 % |
8,12 % |
8,24 % |
abrdn SICAV II - Global Absol. Return Strategies D CHF H t. / A1J0EU / LU0799095053
|
22,00 % |
-5,54 % |
-4,61 % |
4,44 % |
6,79 % |
6,55 % |
AS SICAV II - Global Absol. Return Strategies D CAD H t. / A1XAW9 / LU0548155067
|
22,00 % |
1,86 % |
13,64 % |
14,90 % |
7,80 % |
7,73 % |
abrdn SICAV II - Global Absol. Return Strategies D AUD H t. / A1J57Y / LU0548155497
|
22,00 % |
-15,68 % |
-8,19 % |
-10,11 % |
8,43 % |
9,88 % |
abrdn SICAV II - Global Corporate Bond Fund D EUR Hedged th. / A1JBWZ / LU0636597626
|
22,00 % |
-5,12 % |
-12,37 % |
-6,98 % |
7,24 % |
7,57 % |
abrdn SICAV II - Global Corporate Bond Fund D GBP Hedged th. / A1JBW2 / LU0636598517
|
22,00 % |
-5,27 % |
-7,56 % |
-1,38 % |
9,47 % |
10,37 % |
abrdn SICAV II - Global Corporate Bond Fund D USD thes. / A1JBWV / LU0636596818
|
100,00 % |
-3,23 % |
-6,17 % |
12,39 % |
6,65 % |
7,93 % |
AS SICAV II - Global High Yield Bond Fund D EUR H thes. / A0YBUX / LU0455264530
|
100,00 % |
-9,36 % |
-1,18 % |
-0,33 % |
11,15 % |
8,98 % |
abrdn SICAV II - Gbl Inflation-Linked Governm. Bd D GBP H t / A1JTPE / LU0741089386
|
22,00 % |
-12,53 % |
-8,69 % |
-1,61 % |
11,28 % |
9,96 % |
AS SICAV II - Global REIT Focus Fund D auss. / A1XBK0 / LU1011984306
|
100,00 % |
-6,16 % |
0,05 % |
14,31 % |
18,56 % |
15,97 % |
abrdn SICAV II - Euro Corporate Sustainable Bond D Acc EUR / A1J57X / LU0767911984
|
100,00 % |
-4,80 % |
-9,07 % |
-7,51 % |
6,21 % |
6,62 % |
AS SICAV II - (SLI) EM Local Currency Debt D USD th. / A1T9LL / LU0913259429
|
100,00 % |
-6,98 % |
-8,78 % |
-5,13 % |
9,89 % |
9,05 % |
abrdn SICAV II - EM Local Currency Debt D GBP aus. / A1WZZH / LU0940448805
|
100,00 % |
- |
- |
- |
- |
- |
abrdn SICAV II - EM Local Currency Debt D GBP th. / A1WZZG / LU0940448631
|
100,00 % |
6,51 % |
0,99 % |
6,49 % |
5,96 % |
9,75 % |
AS SICAV I - Brazil Bond Fund A Acc USD / A1JVFQ / LU0728927632
|
100,00 % |
5,76 % |
1,60 % |
- |
14,58 % |
- |
AS SICAV I - Japanese Sustainable Equity I Acc Hedged EUR / A12AZN / LU0946090205
|
100,00 % |
15,65 % |
29,21 % |
19,23 % |
15,55 % |
16,80 % |
AS SICAV I - Asian Credit Sustainable Bond Fund A Acc USD / A14W8F / LU1254413948
|
22,00 % |
-3,01 % |
-8,60 % |
5,92 % |
7,38 % |
8,38 % |
AS SICAV I - Asian Credit Sustainable Bond Fund I Acc USD / A14W8M / LU1254414672
|
0,00 % |
-2,39 % |
-6,84 % |
9,35 % |
7,38 % |
8,38 % |
AS SICAV I - Asian Credit Sustainable Bond Fund A QInc USD / A14W8E / LU1254413864
|
0,00 % |
-3,01 % |
-8,66 % |
5,86 % |
7,38 % |
8,38 % |
AS SICAV I - Asian Credit Sustainable Bond Fund I QInc USD / A14W8L / LU1254414599
|
0,00 % |
-2,38 % |
-6,88 % |
9,30 % |
7,39 % |
8,40 % |
AS SICAV I - Indian Bond Fund A Acc USD / A14YMU / LU1254412205
|
100,00 % |
-0,48 % |
4,59 % |
22,82 % |
7,71 % |
8,84 % |
AS SICAV I - Indian Bond Fund A Acc EUR / A14YMW / LU1254412460
|
22,00 % |
-0,32 % |
4,46 % |
23,28 % |
7,57 % |
8,81 % |
AS SICAV I - Indian Bond Fund I Acc USD / A14YM0 / LU1254412973
|
0,00 % |
0,06 % |
6,30 % |
26,19 % |
7,71 % |
8,85 % |
AS SICAV I - Indian Bond Fund A MInc USD / A14YMT / LU1254412114
|
100,00 % |
-0,48 % |
4,59 % |
22,84 % |
7,71 % |
8,84 % |
AS SICAV I - Indian Bond Fund A MInc EUR / A14YMV / LU1254412387
|
100,00 % |
-0,31 % |
4,43 % |
23,20 % |
7,57 % |
8,81 % |
AS SICAV I - Indian Bond Fund I MInc USD / A14YMZ / LU1254412890
|
100,00 % |
0,06 % |
6,29 % |
26,18 % |
7,71 % |
8,85 % |
AS SICAV I - Diversified Income Fund A MInc Hedged EUR / A140LK / LU1239090977
|
100,00 % |
-0,97 % |
13,51 % |
5,69 % |
6,52 % |
7,70 % |
AS SICAV I - Diversified Income Fund A MInc USD / A14RUZ / LU1124234862
|
100,00 % |
0,77 % |
21,52 % |
27,64 % |
7,59 % |
8,39 % |
abrdn SICAV II - Gbl Inflation-Linked Governm. Bd A EUR H t / A1JBEH / LU0548166429
|
100,00 % |
-12,63 % |
-14,72 % |
-9,77 % |
8,55 % |
7,58 % |
abrdn SICAV II - European Smaller Companies Fund A auss. / A1102X / LU1051404108
|
100,00 % |
-2,16 % |
18,47 % |
15,80 % |
23,11 % |
23,17 % |
AS SICAV I - Diversified Growth Fund A AInc EUR / A2AKHE / LU1402171158
|
100,00 % |
-0,64 % |
15,49 % |
6,01 % |
6,87 % |
8,40 % |
AS SICAV I - Diversified Growth Fund A Acc EUR / A2AKHF / LU1402171232
|
100,00 % |
-0,63 % |
15,49 % |
6,04 % |
6,87 % |
8,40 % |
AS SICAV II - Global Focused Strategies Fund A thes. / A12GMM / LU1150711650
|
22,00 % |
-12,62 % |
-3,95 % |
-5,83 % |
7,68 % |
6,88 % |
AS SICAV I - North Amer. Sm. Comp. A Acc USD / A1W572 / LU0566484027
|
100,00 % |
2,34 % |
32,87 % |
42,09 % |
17,17 % |
21,17 % |
AS SICAV III Dynamic Multi Asset Growth Fd A Acc EUR / A2AL2K / LU1432322557
|
100,00 % |
-16,52 % |
-9,92 % |
-7,40 % |
11,25 % |
10,05 % |
AS SICAV I - Emerg. Markets Loc. Currency Bd A Acc EUR / A0RE3M / LU0396318577
|
100,00 % |
1,80 % |
-6,03 % |
1,26 % |
11,00 % |
10,11 % |
AS SICAV I - Diversified Income Fund A AInc USD / A2ARXM / LU1488356327
|
100,00 % |
0,77 % |
21,52 % |
27,64 % |
7,59 % |
8,39 % |
AS SICAV I - Diversified Income Fund A AInc Hedged EUR / A2ARXN / LU1488356590
|
100,00 % |
-0,96 % |
13,57 % |
5,71 % |
6,52 % |
7,71 % |
AS SICAV I - Diversified Income Fund I AInc Hedged EUR / A2ARXP / LU1488356673
|
0,00 % |
-0,36 % |
15,73 % |
8,94 % |
6,53 % |
7,71 % |
AS SICAV I - Emerg. Markets Smaller Companies Z Acc USD / A0M016 / LU0278915946
|
0,00 % |
3,81 % |
45,26 % |
32,88 % |
14,27 % |
18,26 % |
AS SICAV I - Japanese Sustainable Equity A AInc Hedged EUR / A2DHFG / LU1523234927
|
100,00 % |
14,77 % |
26,28 % |
14,70 % |
15,54 % |
16,79 % |
AS SICAV I - Asia Pacific Sustainable Equity A AInc H EUR / A2DHFH / LU1523234414
|
22,00 % |
-5,78 % |
4,83 % |
-11,13 % |
19,84 % |
19,22 % |
SLI Global SICAV II MyFolio Multi-Manager I Fund A EUR thes. / A2DH6W / LU1518619033
|
100,00 % |
10,09 % |
3,63 % |
- |
5,60 % |
- |
SLI Global SICAV II MyFolio Multi-Manager I Fund A EUR auss. / A2DH6X / LU1518619116
|
100,00 % |
11,66 % |
7,31 % |
- |
5,88 % |
- |
SLI Global SICAV II MyFolio Multi-Manager II Fund A EUR the. / A2DH62 / LU1518619892
|
100,00 % |
18,03 % |
6,12 % |
- |
9,13 % |
- |
SLI Global SICAV II MyFolio Multi-Manager II Fund A EUR aus. / A2DH63 / LU1518619975
|
100,00 % |
21,33 % |
11,60 % |
- |
9,49 % |
- |
SLI Global SICAV II MyFolio Multi-Manager III Fund A EUR th. / A2DH68 / LU1518620635
|
100,00 % |
24,66 % |
7,10 % |
- |
11,70 % |
- |
SLI Global SICAV II MyFolio Multi-Manager III Fund A EUR au. / A2DH69 / LU1518620718
|
100,00 % |
26,64 % |
11,25 % |
- |
11,93 % |
- |
SLI Global SICAV II MyFolio Multi-Manager IV Fund A EUR the. / A2DH7E / LU1518621369
|
100,00 % |
30,59 % |
8,07 % |
- |
13,90 % |
- |
SLI Global SICAV II MyFolio Multi-Manager IV Fund A EUR aus. / A2DH7F / LU1518621443
|
100,00 % |
32,57 % |
12,08 % |
- |
14,12 % |
- |
SLI Global SICAV II MyFolio Multi-Manager V Fund A EUR thes. / A2DH7L / LU1518622177
|
100,00 % |
34,01 % |
8,39 % |
- |
15,20 % |
- |
SLI Global SICAV II MyFolio Multi-Manager V Fund A EUR aus. / A2DH7M / LU1518622250
|
100,00 % |
36,21 % |
12,86 % |
- |
15,45 % |
- |
AS SICAV I - Diversified Income Fund A MInc EUR / A14RU3 / LU1124235240
|
100,00 % |
0,94 % |
21,38 % |
28,11 % |
7,54 % |
8,35 % |
AS SICAV I - Asia Pacific Sustainable Equity X Acc GBP / A1J6FE / LU0837964567
|
0,00 % |
-2,40 % |
16,59 % |
14,05 % |
15,26 % |
16,09 % |
AS SICAV I - Asia Pacific Sustainable Equity X AInc USD / A1J6FF / LU0837964724
|
0,00 % |
-2,44 % |
16,90 % |
13,93 % |
15,32 % |
15,88 % |
AS SICAV I - Japanese Sustainable Equity X Acc Hedged GBP / A12F7G / LU1135072251
|
0,00 % |
15,41 % |
36,26 % |
25,64 % |
16,93 % |
19,32 % |
AS SICAV I - Japanese Sustainable Equity X Acc GBP / A1J6N5 / LU0837977890
|
0,00 % |
3,47 % |
2,42 % |
4,29 % |
15,53 % |
15,99 % |
Aberdeen Global - Japanese Equity X2 Base Curr. Exposure GBP / A1W14Y / LU0942973891
|
0,00 % |
12,00 % |
- |
- |
- |
- |
AS SICAV I - Emer. Markets Equity I AInc USD / A0HL3T / LU0231479477
|
100,00 % |
-1,87 % |
13,85 % |
4,81 % |
15,37 % |
17,19 % |
abrdn SICAV II - Total Return Credit Fund A EUR Hedged auss. / A2DH0M / LU1523963509
|
100,00 % |
-3,89 % |
-4,55 % |
-3,31 % |
6,53 % |
7,81 % |
abrdn SICAV II - Global Absol. Return Strategies B GBP H Acc / A2ALLN / LU1252714057
|
22,00 % |
-9,86 % |
-6,40 % |
-5,07 % |
6,22 % |
7,24 % |
AS SICAV II - Global Absol. Return Strategies B USD H Acc / A2ALLM / LU1252713836
|
22,00 % |
3,71 % |
7,56 % |
8,70 % |
7,05 % |
6,29 % |
AS SICAV I - North Amer. Sm. Comp. A Acc Hedged EUR / A2AB6D / LU1323878188
|
22,00 % |
-0,28 % |
21,93 % |
15,24 % |
19,84 % |
22,36 % |
SLI Global SICAV Continental European Equity Income Fd A th. / A2AR19 / LU1278887010
|
22,00 % |
21,94 % |
12,92 % |
26,91 % |
16,97 % |
14,15 % |
SLI Global SICAV Continental European Equity Income Fd A au. / A2AR18 / LU1278887283
|
100,00 % |
4,14 % |
11,56 % |
29,46 % |
17,02 % |
14,28 % |
abrdn SICAV II - Total Return Credit Fund A EUR Hedged thes. / A2DUTH / LU1523963418
|
22,00 % |
-3,87 % |
-4,47 % |
-3,26 % |
6,53 % |
7,82 % |
AS SICAV I - Emerging Markets Sustainable Equity A Acc USD / A2DQNU / LU1581387781
|
22,00 % |
-1,64 % |
10,81 % |
1,48 % |
15,29 % |
17,33 % |
AS SICAV I - Emerging Markets Equity Ethical G Acc USD / A2DQNY / LU1581388169
|
0,00 % |
-16,70 % |
- |
- |
- |
- |
AS SICAV I - Emerging Markets Sustainable Equity G Acc EUR / A2DQN2 / LU1581388326
|
0,00 % |
-0,71 % |
13,31 % |
6,00 % |
15,44 % |
17,37 % |
SLI Global SICAV Indian Equity Midcap Opport. Fund A EUR th. / A2DMB1 / LU1564464086
|
100,00 % |
-17,48 % |
-28,89 % |
- |
31,45 % |
- |
AS SICAV I - Asia Pacific Multi Asset A Acc Hedged CHF / A2H545 / LU1629966224
|
100,00 % |
-4,27 % |
3,20 % |
-3,96 % |
13,87 % |
14,74 % |
AS SICAV I - Asia Pacific Multi Asset A Acc Hedged EUR / A2H546 / LU1629966497
|
100,00 % |
-8,55 % |
-4,12 % |
-17,82 % |
14,26 % |
14,85 % |
AS SICAV I - Euro Short Term Bond Fund A SInc EUR / A2H6YJ / LU1646951233
|
22,00 % |
-3,27 % |
-4,75 % |
- |
1,35 % |
- |
AS SICAV I - Euro Short Term Bond Fund A Acc EUR / A2H6YK / LU1646951316
|
100,00 % |
-3,27 % |
-4,75 % |
- |
1,35 % |
- |
AS SICAV I - US Dollar Short Term Bond Fund A SInc USD / A2H6Y5 / LU1646954179
|
22,00 % |
3,36 % |
3,96 % |
- |
7,40 % |
- |
AS SICAV I - US Dollar Short Term Bond Fund A Acc USD / A2H6Y6 / LU1646954252
|
22,00 % |
3,36 % |
3,96 % |
- |
7,40 % |
- |
AS SICAV I - Euro Government Bond Fund A SInc EUR / A2H6YP / LU1646950698
|
100,00 % |
-10,96 % |
-22,43 % |
-14,30 % |
7,30 % |
6,58 % |
AS SICAV I - Euro Government Bond Fund A Acc EUR / A2H6YQ / LU1646950771
|
100,00 % |
-10,96 % |
-22,43 % |
-14,35 % |
7,30 % |
6,58 % |
AS SICAV I - European Convertibles Bond Fund A Acc EUR / A2H6Y0 / LU1646952041
|
100,00 % |
5,79 % |
- |
- |
- |
- |
AS SICAV I - US Dollar Credit Sustainable Bond A Acc USD / A2H6YV / LU1646952801
|
100,00 % |
-3,51 % |
-8,55 % |
13,84 % |
6,91 % |
8,10 % |
AS SICAV I - Frontier Markets Bond Fund X Acc Hdg EUR / A1XDQZ / LU1011993711
|
100,00 % |
-4,69 % |
-3,66 % |
-6,92 % |
13,14 % |
13,33 % |
AS SICAV III Global Equity Impact Fund A EUR auss. / A2H5M0 / LU1697922919
|
100,00 % |
-15,12 % |
25,44 % |
38,51 % |
18,43 % |
15,68 % |
AS SICAV III Global Equity Impact Fund A EUR thes. / A2H5MZ / LU1697922752
|
100,00 % |
-15,31 % |
24,96 % |
38,04 % |
18,47 % |
15,72 % |
AS SICAV III Global Equity Impact Fund D EUR auss. / A2H5M2 / LU1697923305
|
100,00 % |
-14,60 % |
27,77 % |
43,22 % |
18,53 % |
15,75 % |
AS SICAV III Global Equity Impact Fund D EUR thes. / A2H5M1 / LU1697552641
|
100,00 % |
-14,59 % |
27,91 % |
42,96 % |
18,49 % |
15,73 % |
AS SICAV I - US Dollar Credit Sustainable Bond A SInc USD / A2JBMV / LU1646952637
|
22,00 % |
-3,51 % |
-8,55 % |
13,84 % |
6,91 % |
8,10 % |
AS SICAV I - Australian Dollar Government Bd A Acc AUD / A2JDBG / LU1760136132
|
22,00 % |
11,56 % |
13,10 % |
- |
- |
- |
AS SICAV I - Australian Dollar Government Bd A QInc AUD / A2JDBF / LU1760136058
|
22,00 % |
11,56 % |
13,10 % |
- |
- |
- |
AS SICAV I - Frontier Markets Equity Fund I Acc USD / A1JF7Z / LU0566482161
|
22,00 % |
-8,67 % |
- |
- |
- |
- |
AS SICAV I - Latin American Equity Fund A Acc Hdg EUR / A1H5E4 / LU0566486667
|
100,00 % |
-2,19 % |
23,57 % |
-19,00 % |
27,27 % |
31,47 % |
AS SICAV I - China A Share Sustainable Equity A Acc USD / A14NSW / LU1146622755
|
100,00 % |
-8,57 % |
3,30 % |
13,08 % |
22,62 % |
21,68 % |
AS SICAV I - Asian Bond Fund A Acc USD / A2JL0D / LU1814411515
|
100,00 % |
-3,22 % |
1,44 % |
- |
6,88 % |
- |
AS SICAV III Global Smaller Companies Fd A EUR thes. / A2JEAK / LU1741499096
|
100,00 % |
-33,06 % |
5,69 % |
- |
23,64 % |
- |
AS SICAV I - Japanese Smaller Comp. Sust. Eqty I AInc JPY / A0RFXS / LU0278930077
|
0,00 % |
-1,89 % |
-12,16 % |
-8,68 % |
16,01 % |
16,29 % |
AS SICAV I - Japanese Sustainable Equity A Acc USD / A1JFK0 / LU0887341062
|
22,00 % |
2,65 % |
0,41 % |
0,35 % |
15,56 % |
15,75 % |
AS SICAV I - Responsible World Equity Fund A Acc EUR / A1H8E4 / LU0498185999
|
22,00 % |
3,92 % |
- |
- |
- |
- |
AS SICAV I - China A Share Sustainable Equity I Acc EUR / A14NS0 / LU1129205529
|
0,00 % |
-7,69 % |
5,65 % |
18,08 % |
22,68 % |
21,77 % |
AS SICAV I - China A Share Sustainable Equity I Acc USD / A14NS2 / LU1130125799
|
100,00 % |
-7,84 % |
5,77 % |
17,65 % |
22,63 % |
21,69 % |
AS SICAV I - German Equity Fund A AInc EUR / A141ZV / LU1274533576
|
100,00 % |
-15,01 % |
9,61 % |
20,67 % |
18,67 % |
16,67 % |
AS SICAV I - German Equity Fund A Acc EUR / A141ZW / LU1274533659
|
100,00 % |
-15,01 % |
9,61 % |
20,66 % |
18,67 % |
16,67 % |
AS SICAV I - German Equity Fund I Acc EUR / A12F4K / LU1144854111
|
100,00 % |
-14,33 % |
12,22 % |
25,49 % |
18,68 % |
16,68 % |
AS SICAV III Emer. Mkt Debt Sust. a. Resp. Inv. D th. / A2PGMD / LU1963787236
|
100,00 % |
-6,26 % |
-3,44 % |
- |
11,18 % |
- |
AS SICAV I - Emerging Markets Corporate Bond I Acc Hdg EUR / A1JUHN / LU0700927352
|
0,00 % |
-2,81 % |
-4,60 % |
-4,83 % |
8,14 % |
10,32 % |
AS SICAV I - Japanese Smaller Comp. Sust. Eqty A Acc Hdg CHF / A1W14X / LU0942972737
|
22,00 % |
14,31 % |
16,73 % |
18,06 % |
15,29 % |
16,56 % |
abrdn SICAV II - Gbl Inflation-Linked Governm. Bd D EUR H t / A1H994 / LU0548167740
|
100,00 % |
-12,21 % |
-13,43 % |
-7,44 % |
8,55 % |
7,59 % |
AS SICAV I - Frontier Markets Bond Fund A Acc USD / A2JGVF / LU1725895616
|
100,00 % |
-3,19 % |
2,03 % |
10,08 % |
10,43 % |
11,80 % |
AS SICAV I - German Equity Fund X Acc EUR / A2PZLK / LU2106595361
|
0,00 % |
-14,36 % |
- |
- |
- |
- |
AS SICAV I - World Smaller Companies Fund X Acc EUR / A2PZLL / LU2106595445
|
0,00 % |
9,81 % |
34,58 % |
- |
16,77 % |
- |
abrdn SICAV II - European Smaller Companies Fund A thes. GBP / A0NCJ5 / LU0343751516
|
100,00 % |
-2,29 % |
17,35 % |
13,97 % |
23,17 % |
23,22 % |
AS SICAV III Emer. Mkt Debt Sust. a. Resp. Inv. A th. / A2PGMB / LU1963787079
|
22,00 % |
-8,93 % |
-7,97 % |
- |
11,62 % |
- |
AS SICAV I - Select EM Bond I MInc Hedged EUR / A1T6CU / LU0890789463
|
0,00 % |
-4,49 % |
-13,27 % |
-18,34 % |
12,22 % |
12,57 % |
AS SICAV II - Global Focused Equity Fund A Acc EUR / A2AQCH / LU1195750101
|
22,00 % |
-16,30 % |
2,89 % |
6,98 % |
15,46 % |
14,18 % |
AS SICAV II - Emerging Market Government Bond A Acc Hdg EUR / A14P3S / LU1195750440
|
22,00 % |
-19,12 % |
-17,00 % |
-17,19 % |
13,76 % |
11,15 % |
AS SICAV I - China Onshore Bond Fund A Acc EUR / A2N5LU / LU1867707223
|
22,00 % |
-3,73 % |
8,85 % |
- |
6,72 % |
- |
AS SICAV I - Select Em. Mkts Investment Grade Bd A Acc USD / A141ZR / LU1124233039
|
22,00 % |
-1,65 % |
-8,29 % |
7,97 % |
7,50 % |
9,02 % |
AS SICAV I - China A Share Sustainable Equity X Acc Hdg EUR / A2PHW7 / LU1970471600
|
0,00 % |
-9,63 % |
-2,51 % |
- |
25,85 % |
- |
AS SICAV I - Emerging Markets Corporate Bond A Acc Hdg EUR / A1XFCY / LU0654954816
|
100,00 % |
-3,50 % |
-6,68 % |
-8,49 % |
8,20 % |
11,99 % |
AS SICAV I - China A Share Sustainable Equity Z Acc USD / A14NS8 / LU1130125955
|
100,00 % |
-6,91 % |
8,99 % |
23,68 % |
23,00 % |
22,39 % |
AS SICAV I - Asian Sustainable Development Equity A Acc EUR / A2P2Y2 / LU2153591669
|
100,00 % |
-2,74 % |
- |
- |
- |
- |
AS SICAV I - Asia Pacific Multi Asset A QInc USD / A2H543 / LU1629966067
|
22,00 % |
-6,45 % |
3,77 % |
0,67 % |
10,13 % |
11,65 % |
AS SICAV I - Select EM Bond I MInc USD / A0HMFR / LU0231480053
|
100,00 % |
-2,55 % |
-7,17 % |
-1,94 % |
8,75 % |
10,88 % |
AS SICAV I - Emerg. Markets Sustain. Devel. Equity A Acc USD / A2P2YW / LU2153592121
|
22,00 % |
3,15 % |
- |
- |
- |
- |
AS SICAV I - Emerg. Markets Sustain. Devel. Equity A Acc EUR / A2P2YX / LU2153592477
|
22,00 % |
3,11 % |
- |
- |
- |
- |
AS SICAV I - Emerg. Markets Sustain. Devel. Equity A A H EUR / A2P2YY / LU2153592550
|
22,00 % |
0,05 % |
- |
- |
- |
- |
AS SICAV I - Emerg. Markets Sustain. Devel. Equity X Acc USD / A2P12P / LU2125050489
|
0,00 % |
3,69 % |
- |
- |
- |
- |
AS SICAV I - EM Infrastru. Equity X Acc Hedged EUR / A1XBWU / LU0948479406
|
0,00 % |
-8,23 % |
0,91 % |
-21,08 % |
15,16 % |
17,10 % |
AS SICAV I - Select Em. Mkts Investment Grade Bd A Acc H EUR / A141ZU / LU1274533147
|
22,00 % |
- |
- |
- |
- |
- |
AS SICAV I - Select Em. Mkts Investment Grade Bd X Acc H EUR / A3CRRP / LU2348063350
|
0,00 % |
- |
- |
- |
- |
- |
abrdn SICAV II - Multi-Asset Climate Opportunities A thes. / A3CWGE / LU2350869215
|
0,00 % |
-3,69 % |
- |
- |
- |
- |
AS SICAV I - Emerging Markets Corporate Bond I Acc EUR / A2JKZ1 / LU1814439441
|
0,00 % |
-0,95 % |
1,88 % |
15,14 % |
7,74 % |
- |
AS SICAV I - Diversified Growth Fund X Acc EUR / A2AKHH / LU1402172719
|
0,00 % |
-0,16 % |
17,59 % |
9,26 % |
6,68 % |
9,08 % |
AS SICAV I - Frontier Markets Bond Fund A Acc Hedged EUR / A2PA8R / LU1919971074
|
100,00 % |
-4,67 % |
-5,09 % |
- |
12,93 % |
- |
abrdn SICAV II - Global Impact Equity Fund D EUR auss. / A3DXVK / LU2534881151
|
22,00 % |
- |
- |
- |
- |
- |
abrdn SICAV II - Global Impact Equity Fund A EUR thes. / A3DXVF / LU2534880344
|
22,00 % |
- |
- |
- |
- |
- |
abrdn SICAV II - Global Impact Equity Fund A EUR auss. / A3DXVG / LU2534880427
|
100,00 % |
- |
- |
- |
- |
- |
abrdn SICAV II - Global Impact Equity Fund D EUR thes. / A3DXVH / LU2534880856
|
100,00 % |
- |
- |
- |
- |
- |
AS SICAV I - China Next Generation Fund K Acc USD / A3DKAN / LU2460027464
|
100,00 % |
- |
- |
- |
- |
- |
AS SICAV I - China Next Generation Fund I Acc USD / A3DMPW / LU2460028603
|
100,00 % |
- |
- |
- |
- |
- |