| Name | Auflagedatum | Volumen | YTD-P | 1-Y-P | 3-Y-P | 5-Y-P |
| ZZ1 AT0000989090 EUR / Dist. / Retail | 01.08.1996 30,0 Jahre | 556,63 | +10,51% | +24,37% | +31,42% | +25,05% |
| Structured Solutions SICAV - Resource Income Fund LU1510784512 EUR / Dist. / Retail | 15.09.2021 4,9 Jahre | 7,93 | +10,64% | +23,59% | +24,84% | N/A |
| Akbank Turkish SICAV - Fixed Income LU0366550621 EUR / Dist. / Retail | 25.10.2021 4,8 Jahre | 22,51 | +12,92% | +27,33% | +46,55% | N/A |
| Bradesco Global Funds Brazilian Fixed Income LU0447459685 USD / Acc. / Retail | 28.09.2009 16,9 Jahre | 327,94 | +13,52% | +19,38% | +17,09% | +54,11% |