| Name | Auflagedatum | Volumen | YTD-P | 1-Y-P | 3-Y-P | 5-Y-P |
| Geostrategy Fund DE000A1111G8 EUR / Dist. / Retail | 01.10.2014 11,8 Jahre | 6,29 | +0,58% | +9,51% | +40,77% | +52,39% |
| U Asset Allocation - Calm Sea EUR LU2262131803 EUR / Acc. / Retail | 12.01.2021 5,5 Jahre | 156,18 | +3,85% | +9,67% | +25,39% | +15,84% |
| R-co Conviction Club FR0010541557 EUR / Acc. / Retail | 21.11.1989 36,7 Jahre | 220,62 | +3,59% | +9,68% | +24,87% | +24,65% |
| CTV-Strategiefonds Ausgewogen LU0247024648 EUR / Dist. / Retail | 15.03.2006 20,4 Jahre | 26,22 | +4,07% | +9,76% | +32,10% | +35,75% |
| MC 1 Universal DE000A0Q4G39 EUR / Dist. / Retail | 01.08.2008 18,0 Jahre | 5,96 | -0,13% | +9,89% | +34,90% | +34,91% |
| UniMultiAsset Chance II ESG DE000A2PPKA9 EUR / Acc. / Retail | 29.05.2020 6,2 Jahre | 594,01 | +4,21% | +10,33% | +30,78% | +18,78% |
| FIVV-MIC-Mandat-Rendite DE000A0NAAE3 EUR / Acc. / Retail | 02.06.2008 18,2 Jahre | 14,82 | +3,57% | +10,38% | +22,16% | +17,89% |
| Strategiekonzept I DE0009799395 EUR / Dist. / Retail | 06.05.2002 24,2 Jahre | 69,46 | +6,12% | +10,51% | +23,96% | +16,07% |
| Aramea Strategie I DE000A0NEKF1 EUR / Dist. / Retail | 10.11.2008 17,7 Jahre | 20,70 | +4,54% | +10,57% | +31,79% | +27,48% |
| SpänglerPrivat: Flexibel AT0000A18WC7 EUR / Acc. / Retail | 01.08.2014 12,0 Jahre | 48,23 | +5,98% | +10,88% | +37,96% | +34,18% |