Private Investors

Name of fund Class ISIN Currency Date
NAV

Net Asset Value (Index)

YTD

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

Factsheet
Swiss equities - Minimum variance
Name of fund OLZ Equity Switzerland Small & Mid Cap Optimized ESG Class
MR
ISIN
CH1183522361
Currency
CHF
Date
29.12.2025
NAV

Net Asset Value (Index)

106.29
YTD

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

6.29 %
Factsheet
Global equities - Minimum variance
Name of fund WF - OLZ Equity World Optimized ESG Class
CD
ISIN
LU1013689630
Currency
CHF
Date
29.12.2025
NAV

Net Asset Value (Index)

170.15
YTD

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

4.76 %
Factsheet
Name of fund WF - OLZ Equity World Optimized ESG Class
ED
ISIN
LU1012212459
Currency
EUR
Date
29.12.2025
NAV

Net Asset Value (Index)

224.09
YTD

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

5.83 %
Factsheet
Name of fund OLZ Equity World Optimized ESG (CHF hedged)* Class
IH
ISIN
CH0488209336
Currency
CHF
Date
23.12.2025
NAV

Net Asset Value (Index)

119.19
YTD

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

9.54 %
Factsheet
Emerging market equities - Minimum variance
Name of fund WF - OLZ Equity Emerging Markets ex China Optimized ESG Class
CD
ISIN
LU0803003523
Currency
CHF
Date
29.12.2025
NAV

Net Asset Value (Index)

97.47
YTD

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

-5.38 %
Factsheet
Name of fund WF - OLZ Equity Emerging Markets ex China Optimized ESG Class
UD
ISIN
LU0803005494
Currency
USD
Date
29.12.2025
NAV

Net Asset Value (Index)

117.90
YTD

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

8.53 %
Factsheet
Name of fund WF - OLZ Equity China Optimized ESG Class
HD (HKD)
ISIN
LU2344585158
Currency
HKD
Date
29.12.2025
NAV

Net Asset Value (Index)

125.12
YTD

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

22.27 %
Factsheet
Mixed Funds
Name of fund OLZ Smart Invest 65 ESG* Class
I
ISIN
CH0328149510
Currency
CHF
Date
29.12.2025
NAV

Net Asset Value (Index)

122.78
YTD

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

4.70 %
Factsheet
Name of fund OLZ Smart Invest 65 ESG Class
IR
ISIN
CH0366209838
Currency
CHF
Date
29.12.2025
NAV

Net Asset Value (Index)

107.06
YTD

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

4.50 %
Factsheet

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