Valeur nette d’inventaire

VNI

Valeur Nette d’Inventaire (VNI) hebdomadaire et mensuelle.

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VNI au Nº de valeur Lancement VNI Hebdo. 2025 Depuis la création
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PRISMA ESG SPI® Efficient I 117069258 01.04.2022 3’308,35 -0,18% 8,67% 9,80%
PRISMA ESG SPI® Efficient II* 11339766 20.12.2010 3’313,88 -0,18% 8,70% 231,39%
PRISMA ESG SPI® Efficient III 117093777 01.04.2022 3’316,93 -0,18% 8,71% 10,08%
Swiss Performance Index SPI® 0,97% 7,34% 183,74%
PRISMA Global Residential Real Estate I [USD] 58142152 18.12.2020 1’010,15 0,61% 13,56% 16,52%
Distributions depuis le lancement: USD 135,00
PRISMA Global Residential Real Estate II [USD] 58142167 04.12.2020 1’001,37 0,61% 13,57% 15,65%
Distributions depuis le lancement: USD 135,00
PRISMA Global Residential Real Estate III [USD] 58142170 10.12.2021 1’011,58 0,61% 13,61% -1,28%
Distributions depuis le lancement: USD 105,00
PRISMA ESG Sustainable SOCIETY I [USD] 117620113 22.07.2022 1’498,66 4,40% 8,20% 49,87%
PRISMA ESG Sustainable SOCIETY II [USD]* 117620124 22.07.2022 1’501,10 4,40% 8,22% 50,11%
MSCI World TR Net 3,30% 8,99% 58,28%
PRISMA ESG Global Emerging Markets Equities I 112848829 01.04.2022 1’318,95 0,55% 0,04% -0,56%
PRISMA ESG Global Emerging Markets Equities II* 27699766 26.06.2015 1’321,10 0,55% 0,07% 32,11%
MSCI Emerging Markets TR Net 1,06% 2,14% 36,54%
Obligations
PRISMA ESG World Convertible Bonds I 111735898 01.04.2022 1’288,05 0,23% -4,05% -11,03%
PRISMA ESG World Convertible Bonds II* 1179845 26.01.2001 1’290,13 0,23% -4,03% 29,01%
PRISMA ESG World Convertible Bonds III 111735916 01.04.2022 1’291,39 0,23% -4,01% -10,79%
Refinitiv Global Focus Convertible Bond Index -0,52% -3,45% 24,15%
PRISMA ESG Global Credit Allocation I 117069211 01.04.2022 948,76 0,23% 0,20% -10,44%
PRISMA ESG Global Credit Allocation II* 27699760 08.05.2015 950,33 0,22% 0,23% -4,97%
PRISMA ESG Global Credit Allocation III 117069250 01.04.2022 951,22 0,22% 0,24% -10,21%
Barclays Global Aggregate Corporate TR Hedged 1 0,38% 1,35% -2,13% 1
PRISMA Global Bonds III 36657868 31.03.2025 980,57 0,02% 0,01%
Barclays Global Aggregate TR Hedged 0,24% 0,30%
Infrastructure
PRISMA ESG Global Infrastructure III [USD] 121970706 22.02.2023 901,43 2 3,91% 2 -9,86% 2
Produits Alternatifs
PRISMA ESG Private Equity Co-Invest 1 I [USD] 113296599 30.11.2021 1’062,53 2 1,102 3
PRISMA ESG Private Equity Co-Invest 1 II [USD] 113296608 30.11.2021 1’069,90 2 1,106 3
PRISMA Alternative Multi-Manager II 124897318 31.01.2024 1’106,14 4 1,72% 4 10,61% 4
PRISMA Alternative Multi-Manager III 124897319 30.06.2023 1’132,62 4 1,79% 4 13,26% 4
PRISMA SHARP [USD] 27699704 31.12.2020 1’384,07 1,43% 5,94% 13,38%
Immobilier
PRISMA Previous Responsible Residential Real Estate 29801110 11.12.2015 1’141,63 5 15,61% 5
PRISMA Redbrix Real Estate [EUR] 38158212 11.12.2017 1’270,14 6 27,01% 6
S. E. & O.
Document PDF Performances
VNI au Nº de valeur Lancement VNI Mensuelles 2025 Depuis la création
Actions
PRISMA ESG SPI® Efficient I 117069258 01.04.2022 3’379,91 1,93% 11,02% 12,17%
PRISMA ESG SPI® Efficient II* 11339766 20.12.2010 3’385,43 1,93% 11,04% 238,54%
PRISMA ESG SPI® Efficient III 117093777 01.04.2022 3’388,47 1,93% 11,06% 12,45%
Swiss Performance Index SPI® 2,25% 8,91% 187,89%
PRISMA Global Residential Real Estate I [USD] 58142152 18.12.2020 1’001,61 1,66% 11,77% 14,69%
Distributions depuis le lancement: USD 127,50
PRISMA Global Residential Real Estate II [USD] 58142167 04.12.2020 992,96 1,66% 11,78% 13,83%
Distributions depuis le lancement: USD 127,50
PRISMA Global Residential Real Estate III [USD] 58142170 10.12.2021 1’002,95 1,67% 11,81% -2,84%
Distributions depuis le lancement: USD 97,50
PRISMA ESG Sustainable SOCIETY I [USD] 117620113 22.07.2022 1’392,92 8,07% 0,56% 39,29%
PRISMA ESG Sustainable SOCIETY II [USD]* 117620124 22.07.2022 1’395,13 8,08% 0,58% 39,51%
MSCI World TR Net 5,92% 4,95% 52,41%
PRISMA ESG Global Emerging Markets Equities I 112848829 01.04.2022 1’276,30 5,97% -3,19% -3,77%
PRISMA ESG Global Emerging Markets Equities II* 27699766 26.06.2015 1’278,32 5,97% -3,17% 27,83%
MSCI Emerging Markets TR Net 4,25% -1,43% 31,75%
Obligations
PRISMA ESG World Convertible Bonds I 111735898 01.04.2022 1’283,70 2,74% -4,37% -11,33%
PRISMA ESG World Convertible Bonds II* 1179845 26.01.2001 1’285,73 2,74% -4,35% 28,57%
PRISMA ESG World Convertible Bonds III 111735916 01.04.2022 1’286,95 2,74% -4,34% -11,10%
Refinitiv Global Focus Convertible Bond Index 2,52% -3,33% 24,30%
PRISMA ESG Global Credit Allocation I 117069211 01.04.2022 946,08 -0,46% -0,08% -10,69%
PRISMA ESG Global Credit Allocation II* 27699760 08.05.2015 947,61 -0,46% -0,06% -5,24%
PRISMA ESG Global Credit Allocation III 117069250 01.04.2022 948,48 -0,45% -0,05% -10,47%
Barclays Global Aggregate Corporate TR Hedged 1 -0,14% 0,62% -2,83% 1
PRISMA Global Bonds III 36657868 31.03.2025 978,31 -0,14% -0,22%
Barclays Global Aggregate TR Hedged -0,68% -0,14%
Infrastructure
PRISMA ESG Global Infrastructure III [USD] 121970706 22.02.2023 901,43 2 3,91% 2 -9,86% 2
Produits Alternatifs
PRISMA ESG Private Equity Co-Invest 1 I [USD] 113296599 30.11.2021 1’062,53 2 1,102 3
PRISMA ESG Private Equity Co-Invest 1 II [USD] 113296608 30.11.2021 1’069,90 2 1,106 3
PRISMA Alternative Multi-Manager II 124897318 31.01.2024 1’106,14 1,72% 10,61%
PRISMA Alternative Multi-Manager III 124897319 30.06.2023 1’132,62 1,79% 13,26%
PRISMA SHARP [USD] 27699704 31.12.2020 1’347,55 1,34% 3,14% 10,39%
Immobilier
PRISMA Previous Responsible Residential Real Estate 29801110 11.12.2015 1’141,63 4 15,61% 4
PRISMA Redbrix Real Estate [EUR] 38158212 11.12.2017 1’270,14 5 27,01% 5
S. E. & O.

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