- SEI UN CONSULENTE FINANZIARIO AUTONOMO?
- Scopri i vantaggi del nostro servizio
LGT Strategy 3 Years CHF I1 - LI0350494832
Obiettivo di investimento dichiarato
The Sub-Fund is managed as a portfolio of Permitted Investments in accordance with the investment policy set out in this section. Investors should note that during any period of suspension of valuation or redemption or when the Sub-Fund is wound down, the UCITS or the Management Company on behalf of the UCITS, acting in the best interests of the Unitholders, may resolve that it is unreasonable and/or impracticable to comply with some or all of the policies and guidelines in this section. The Sub-Fund is a feeder UCITS, which permanently invests at least 85% of its net asset value in the Master Fund and up to 15% of its assets in liquid assets, as described in below under the heading “Permitted Investments of the Sub-Fund”. The Sub-Fund aims to ensure that its performance is as similar as possible to that of the Master Fund, although there may be differences, inter alia, due to deviating fee structures.
Anagrafica e indicatori
| ISIN: LI0350494832 | Benchmark dichiarato: ND |
| Prezzo/Nav al 06/08/2026: 1.069,94 CHF | Benchmark Morningstar: Cat 75%Citi SwissGBI&25%MSCI Wld Free NR |
| Investimento minimo: 1.000.000,00 CHF | Società di Gestione: LGT |
| Categoria Morningstar: Bilanciati Prudenti EUR - Globali | Valuta: CHF |
Commissioni
| Commissioni | Da prospetto |
|---|---|
| Commissione di ingresso massima | 3,00% |
| Commissione di uscita massima | 0,00% |
| Commissione di gestione | 0,60% |
| Commissione di performance | ND |
Rating e rischio
ESG
| Il prodotto tiene conto dei fattori di sostenibilità? ND |
Rendimenti
| Rendimenti | Fondo | Categoria |
|---|---|---|
| Rendimento YTD % | 1,89% | 3,71% |
| Rendimento 1 anno % | 5,11% | 6,58% |
| Rendimento 3 anni % | 4,13% | 6,09% |
| Rendimento 5 anni % | 1,53% | 1,75% |
| Rendimento 10 anni % | 2,38% | 2,08% |
Visualizzazione documentazione offerta
Fondi acquistabili
Il fondo LGT Strategy 3 Years CHF I1 al momento non è acquistabile su FondiOnline.it. Puoi sottoscrivere in alternativa i seguenti fondi per la categoria Bilanciati Prudenti EUR - Globali.
- AcomeA Strategia Moderata A1 - IT0005506354
- Allianz Capital Plus Global C EUR - LU2337294263
- Allianz Capital Plus Global CT EUR - LU2337294347
- Allianz Dyn MltAst Stgy SRI 30 A EUR - LU2799046136
- Allianz Dyn MltAst Stgy SRI 30 AT EUR - LU2868112645
- Allianz Dyn MltAst Stgy SRI15 A EUR - LU1089088071
- Allianz Dyn MltAst Stgy SRI15 AQ EUR - LU1377963175
- Amundi Fds Euro MA Trgt Inc E2 EUR QTI D - LU1882475558
- Amundi Fds Global MA Cnsrv E2 EUR C - LU1883329606
- Amundi Fds Global MA Cnsrv G EUR C - LU1883329861
- Amundi Fds Global MA Cnsrv G EUR QTD D - LU1883329945
- Amundi Fds MA Consrv Rspnb E2 EUR C - LU2036673882
- TIMEO Neutral SICAV BZ Cnsrv Wolf R CHF - LU0805149647
- TIMEO Neutral SICAV BZ Cnsrv Wolf R EUR - LU0792923384
- AXAWF Global Income Gen A Cap USD - LU0960400751
- AXAWF Global Income Gen E Cap EUR - LU0960401213
- BNP Paribas Sust Mul Ast Sty Cl Acc - LU1956159773
- BNP Paribas Sust Mul Ast Sty Cl Inc - LU1956159856
- CT (Lux) Sust Mul Ast Inc A Acc EUR - LU2051394604
- CT (Lux) Sust Mul Ast Inc A Inc EUR - LU2051394786
- CT (Lux) Sust Mul Ast Inc R Acc EUR - LU2051395247
- CT (Lux) Sust Mul Ast Inc R Inc EUR - LU2051395320
- CPR Invest Defensive A Acc - LU1203018533
- CPR Invest Defensive F Acc - LU1291159124
- CPR Invest Smart Trends F EUR Acc - LU1989771958
- DPAM L Patrimonial A EUR - LU0574765755
- DPAM L Patrimonial B EUR - LU0574765839
- DPAM L Patrimonial W EUR - LU0966595638
- DWS Concept DJE Alpha Renten Global LC - LU0087412390
- DWS Invest Conservative Opps LC - LU2034326152
- DWS Invest Conservative Opps NC - LU2161839753
- DWS Invest Conservative Opps ND - LU2034326319
- EdRF QUAM 5 A USD - LU1005538217
- EdRF QUAM 5 R EUR - LU1005539538
- New Capital Strat Defensv A CHF H Acc - LU1783221507
- New Capital Strat Defensv A EUR Acc - LU0394160005
- Ethna-AKTIV USD-A - LU0985093219
- Ethna-AKTIV USD-T - LU0985094027
- Etica Rendita Bilanciata R - IT0005117533
- Eurizon Conservative Allc R EUR Acc - LU1090960755
- Eurizon Manager Selection MS 10 - LU0256011734
- Fidelity Glb MA Dfsv A-Acc-EUR - LU0393653166
- Fidelity Glb MA Dfsv A-CDIST(G)-EUR - LU3246212453
- Fidelity Glb MA Dfsv A-Dis-EUR - LU0413543991
- Fidelity Glb MA Dfsv B1-Acc-EUR - LU2771430381
- Fidelity Glb MA Dfsv B1-Dis-EUR - LU2771430464
- FvS Multi Asset Defensive ET - LU1245470593
- Franklin Dvrs Cnsrv A(Qdis)EUR - LU1244550908
- Franklin Dvrs Cnsrv A(Qdis)USD-H1 - LU1685367390
- Franklin Dvrs Cnsrv A(Ydis)EUR - LU1147470253
- Franklin Dvrs Cnsrv N(Ydis)EUR - LU1244551112
- Multilabel GAM MA Strategic Allc EUR B - LU1022124520
- GP&G Fund Valore RX - LU0364482538
- GS Patrimonial Def-X Cap EUR - LU0121217334
- JPM Global Income Cnsrv A div EUR - LU1458463236
- JPM Global Income Cnsrv D acc EUR - LU1458464713
- JPM Global Income Cnsrv D div EUR - LU1458464804
- JB Strategy Income EUR E - LU0150368859
- LO Funds All Roads Conservative EUR MA - LU1514035226
- LO Funds All Roads Conservative EUR NA - LU1514035069
- LO Funds All Roads Conservative EUR PD1 - LU1728561876
- LO Funds All Roads Conservative SH CHFNA - LU1514037354
- LO Funds All Roads Conservative SH USDMA - LU1514036463
- LO Funds All Roads Conservative SH USDNA - LU1514036117
- Mediobanca Global Multiasset 30 Q - IT0005634842
- Mediobanca Global Multimanager 15 C - IT0005342305
- Mediobanca Global Multimanager 15 G - IT0005342347
- Mediobanca Global Multimanager 15 GD - IT0005342396
- New Millennium Alpha Active Allocation A - LU0993156016
- New Millennium Alpha Active Allocation D - LU0993156289
- New Millennium Balanced World Cnsrv A - LU0149079047
- New Millennium Multi Asset Opportunity A - LU1363165595
- Natixis Conservative Risk Prty R/A EUR - LU0935227537
- Natixis Conservative Risk Prty R/D EUR - LU0935227701
- Natixis Conservative Risk Prty RE/A EUR - LU0935227883
- Natixis Conservative Risk Prty RE/D EUR - LU0935227966
- NEF Ethical Balanced Conservative D - LU1555072252
- Pictet-Multi Asset Global Opps R dm EUR - LU1116037828
- Pictet-Multi Asset Global Opps R dq EUR - LU3246148004
- Pictet-Multi Asset Global Opps R EUR - LU0941349275
- Raiffeisen Global Income S A - AT0000A1JU74
- Raiffeisen Nachhaltigkeit Div R VT - AT0000A105C5
- Raiffeisen Nachhaltigkeit Div S A - AT0000A2E0B6
- Raiffeisen-Nachhaltigkeit-Solide R VTA - AT0000A1VP59
- Raiffeisen-Nachhaltigkeit-Solide S A - AT0000A1VP42
- Raiffeisenfonds-Sicherheit VT - AT0000743562
- Robeco Sustainable Income Allc B € Inc - LU2776675170
- Robeco Sustainable Income Allc D € Acc - LU2776675253
- Robeco Sustainable Income Allc E € Inc - LU2730331225
- Schroder ISF Glbl MA Bal A1 Acc EUR - LU0776414160
- Schroder ISF Glbl MA Bal B Acc EUR - LU0776414244
- Schroder ISF Glbl MA Bal B Dis Q - LU0776414913
- Soprarno Reddito & Crescita CL A - IT0005105199
- SWC (LU) PF Cmtt Relax (EUR) AA - LU1775789594
- SWC (LU) PF Cmtt Select (EUR) AT - LU0161534358
- CB Accent Lux Challenge Bal B EUR Acc - LU2548901383
- CB Accent Lux Challenge Bal B USD H Acc - LU2548901896
- UBS (Lux) SF Yield (EUR) CHF H P-acc - LU2820609811
- UBS (Lux) SF Yield (EUR) N-acc - LU0167295319
- UBS (Lux) SF Yield (EUR) P-acc - LU0033040782
- UBS (Lux) SF Yield (EUR) P-dist - LU0033040600
- UBS (Lux) SF Yield (EUR) USD H P-acc - LU2820609902
- UBS (Lux) SS Income (EUR) P-acc - LU0994951464
- UBS (Lux) SS Xtra Yield (EUR) P-acc - LU1059709862
- Vontobel Multi Asset Defensive C EUR - LU1737595923
- Vontobel Multi Asset Defensive H CHFH - LU1767066860
- Vontobel Multi Asset Defensive H USDH - LU1767066944
- Vontobel Multi Asset Solution B EUR - LU1481720644
Le informazioni su Fondi Comuni di Investimento, Sicav e Fondi Pensione Aperti messe a disposizione sul Sito sono di esclusiva proprietà di Morningstar Italy S.r.l. (http://www.morningstar.it/it/). Innofin non è pertanto in alcun modo responsabile della veridicità, completezza e aggiornamento delle Informazioni.
