BCV Total Return Bonds ESG (CHF) B

The BCV Total Return Bonds ESG (CHF) aims to generate regular returns across the interest-rate cycle and deliver sustainable capital growth. To achieve this, the fund manager takes a dynamic approach, selecting from a range of fixed-income asset classes without the constraints of a benchmark. The subfund invests directly in top-grade and speculative bonds denominated in a broad range of currencies. It also invests in these products indirectly via funds and derivatives. Issuers may be sovereigns or corporates from anywhere in the world. The portion of the sub-fund's assets as defined in the investment policy, the portfolio manager integrates environmental, social, and governance (ESG) criteria into the investment selection process and their weighting in the portfolio. The share in collective investment schemes and in high yield bonds and other speculative securities is limited respectively to a maximum of 10% and 30% of the Subfund's assets.

FRDEENESGRIT
Fund manager's report 12.24
Annual report 03.24
Semi-annual report 09.24
Brochure 05.23 05.23 05.23
Factsheets 02.25 02.25 02.25
PRIIPS KID 12.24
Prospectus and fund regulation 08.24 08.24
EMT 09.24
entre
Peformance evolution (dividends reinvested)

Past performance is no guarantee of future returns and the historical returns do not take account of issuing commission fees.

Date VNI
23/12/2024 CHF 91.41
20/12/2024 CHF 91.61
19/12/2024 CHF 91.45
18/12/2024 CHF 91.67
17/12/2024 CHF 92.03
16/12/2024 CHF 92.08
13/12/2024 CHF 92.12
12/12/2024 CHF 92.42
11/12/2024 CHF 92.58
10/12/2024 CHF 92.67
09/12/2024 CHF 92.73
06/12/2024 CHF 92.78
05/12/2024 CHF 92.68
04/12/2024 CHF 92.84
03/12/2024 CHF 92.72
02/12/2024 CHF 92.83
30/11/2024 CHF 92.69
29/11/2024 CHF 92.69
27/11/2024 CHF 92.55
26/11/2024 CHF 92.41
25/11/2024 CHF 92.49
22/11/2024 CHF 92.02
21/11/2024 CHF 91.86
20/11/2024 CHF 91.88
19/11/2024 CHF 92.00
Date VNI Devise Montant brut - Suisse Montant net - Suisse Montant brut / net - Etranger Capital gain
28/01/2025 CHF 2.4386 1.5851 2.4386 0.0000
16/07/2024 CHF 2.1000 1.3650 2.1000 0.0000
18/07/2023 CHF 1.4000 0.9100 1.4000 0.0000
19/07/2022 CHF 1.2000 0.7800 1.2000 0.0000
20/07/2021 CHF 1.1000 0.7150 1.1000 0.0000
21/07/2020 CHF 2.0000 1.3000 1.3000 0.0000
23/07/2019 CHF 1.4000 0.9100 0.9100
24/07/2018 CHF 0.9500 0.6175 0.9500
14/07/2017 CHF 0.7500 0.4875 0.7500