OLZ Equity World ex CH Index Optimized ESG

Factsheet (PDF)

Letzte Aktualisierung: 16.04.2026

YTD

3.49 %

Net Asset Value (Index)

112.52

Currency CHF
ISIN CH1436234046
Valor 143623404
Bloomberg OLZEQIC SW
Class I-C

Investment concept

The fund invests in equities from developed equity markets worldwide with the exception of Switzerland. The focus is on liquidity, sustainability and ESG criteria (environmental, social, governance) and optimal diversification. The reference currency is CHF. The foreign currency risk is not hedged. No leverage is used and no short selling or securities lending is carried out. The investments follow a disciplined and structured process and are based on tracking error minimization. The aim is to improve the risk/return ratio compared to the capital-weighted index over a medium to long-term time horizon with an above-average ESG rating.

Fund information

  • Fund type: Institutional fund
  • Domicil: Switzerland
  • Licence: Switzerland
  • Trade: daily
  • Cut-off Time: 16:00 (with fund administration)
  • Distribution type: reinvestment
  • Currency hedging: -
  • Compensation for fund manager: 0.20% p.a.
  • Total Expense Ratio: 0.25% p.a. (ex ante)
  • Buy/sell tax in favor of funds: 0.10%
  • Issue/redemption compensation: -
  • Benchmark: MSCI World ex Switzerland Index

Documents

Key Investor Information Document (KIID)

Fund agreeement

Annual report

Tax informations

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