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OLZ Equity World ex CH Optimized ESG 2

ISIN: CH0376805757
Valor: 37680575
Bloomberg: OLEW2IC SW
Class: I-C
Currency: CHF
Date: 23.01.2020
NAV:

Net Asset Value (Index)

18,091.47
YTD:

Year-to-Date (Return so far this year)

1.91 %

Investment concept

The fund invests in worldwide equity markets of developed countries except for Switzerland. Focus is on liquidity, sustainability respectively ESG criteria (Environmental, Social, and Governance) as well as optimal diversification. Reference currency is CHF and the currency risk is not hedged. Leverage, short selling, and securities lending are not allowed. The investments follow a disciplined and structured process and are based on a minimum variance optimization model. The goal is to optimize the risk-return ratio compared to a capitalization weighted investment scheme over a medium to long-term time horizon combined 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: 0.45% p.a.
  • Total Expense Ratio: 0.51% p.a.
  • Buy/sell tax in favor of funds: 0.10%
  • Issue/redemption compensation: -
  • Benchmark: MSCI World ex Switzerland Index

Documents (PDF)

Key Investor Information Document (KIID)
Fund agreeement DE
Annual report DE FR
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