Valeur nette d’inventaire

VNI

Valeur Nette d’Inventaire (VNI) hebdomadaire et mensuelle.

Document PDF Performances
VNI au Nº de valeur Lancement VNI Hebdo. 2025 Depuis la création
Actions
PRISMA ESG SPI® Efficient I 117069258 01.04.2022 3’290,95 -2,36% 8,10% 9,22%
PRISMA ESG SPI® Efficient II* 11339766 20.12.2010 3’297,02 -2,36% 8,14% 229,70%
PRISMA ESG SPI® Efficient III 117093777 01.04.2022 3’300,40 -2,36% 8,17% 9,53%
Swiss Performance Index SPI® -2,11% 9,76% 190,14%
PRISMA Global Residential Real Estate I [USD] 58142152 18.12.2020 935,47 -2,71% 5,98% 8,75%
Distributions depuis le lancement: USD 142,50
PRISMA Global Residential Real Estate II [USD] 58142167 04.12.2020 927,35 -2,71% 6,00% 7,94%
Distributions depuis le lancement: USD 142,50
PRISMA Global Residential Real Estate III [USD] 58142170 10.12.2021 937,13 -2,71% 6,06% -7,84%
Distributions depuis le lancement: USD 112,50
PRISMA ESG Sustainable SOCIETY I [USD] 117620113 22.07.2022 1’690,16 1,29% 22,02% 69,02%
PRISMA ESG Sustainable SOCIETY II [USD]* 117620124 22.07.2022 1’693,21 1,29% 22,07% 69,32%
MSCI World TR Net 0,45% 19,78% 73,96%
PRISMA ESG Global Emerging Markets Equities I 112848829 01.04.2022 1’592,06 1,76% 20,76% 20,03%
PRISMA ESG Global Emerging Markets Equities II* 27699766 26.06.2015 1’594,92 1,76% 20,81% 59,49%
MSCI Emerging Markets TR Net 1,84% 17,69% 57,31%
Obligations
PRISMA ESG World Convertible Bonds I 111735898 01.04.2022 1’383,76 1,45% 3,08% -4,41%
PRISMA ESG World Convertible Bonds II* 1179845 26.01.2001 1’386,24 1,45% 3,12% 38,62%
PRISMA ESG World Convertible Bonds III 111735916 01.04.2022 1’387,74 1,45% 3,15% -4,14%
FTSE Global Focus Convertible Bond Index 0,89% 4,74% 34,68%
PRISMA ESG Global Credit Allocation I 117069211 01.04.2022 959,02 -0,18% 1,29% -9,47%
PRISMA ESG Global Credit Allocation II* 27699760 08.05.2015 960,77 -0,18% 1,33% -3,92%
PRISMA ESG Global Credit Allocation III 117069250 01.04.2022 961,77 -0,18% 1,36% -9,21%
Bloomberg Global Aggregate Corporate TR Hedged1 -0,54% 2,92% -0,61% 1
PRISMA Global Bonds III 36657868 31.03.2025 987,00 -0,04% 0,66%
Bloomberg Global Aggregate TR Index Hedged -0,25% 0,88%
Infrastructure
PRISMA ESG Global Infrastructure III [USD] 121970706 22.02.2023 922,57 2 6,34% 2 -7,74% 2
Produits Alternatifs
PRISMA ESG Private Equity Co-Invest 1 I [USD] 113296599 30.11.2021 1’156,20 2 1,200 3
PRISMA ESG Private Equity Co-Invest 1 II [USD] 113296608 30.11.2021 1’164,49 2 1,203 3
PRISMA ESG Private Equity Co-Invest 2 I [USD] 140409997 16.10.2025 1’000,00 4
PRISMA ESG Private Equity Co-Invest 2 II [USD] 140409998 16.10.2025 1’000,00 4
PRISMA Alternative Multi-Manager II 124897318 31.01.2024 1’151,91 5 5,92% 5 15,19% 5
PRISMA Alternative Multi-Manager III 124897319 30.06.2023 1’180,20 5 6,07% 5 18,02% 5
PRISMA SHARP [USD] 27699704 31.12.2020 1’475,22 -0,21% 12,92% 20,84%
PRISMA BEYONDER II 145898978 25.07.2025 1’040,35 0,05% 4,04%
Immobilier
PRISMA Previous Responsible Residential Real Estate 29801110 11.12.2015 1’164,17 6 17,89% 6
PRISMA Redbrix Real Estate [EUR] 38158212 11.12.2017 1’234,47 7 23,45% 7
S. E. & O.
Document PDF Performances
VNI au Nº de valeur Lancement VNI Mensuelles 2025 Depuis la création
Actions
PRISMA ESG SPI® Efficient I 117069258 01.04.2022 3’290,95 1,66% 8,10% 9,22%
PRISMA ESG SPI® Efficient II* 11339766 20.12.2010 3’297,02 1,66% 8,14% 229,70%
PRISMA ESG SPI® Efficient III 117093777 01.04.2022 3’300,40 1,66% 8,17% 9,53%
Swiss Performance Index SPI® 1,39% 9,76% 190,14%
PRISMA Global Residential Real Estate I [USD] 58142152 18.12.2020 935,47 -4,69% 5,98% 8,75%
Distributions depuis le lancement: USD 142,50
PRISMA Global Residential Real Estate II [USD] 58142167 04.12.2020 927,35 -4,69% 6,00% 7,94%
Distributions depuis le lancement: USD 142,50
PRISMA Global Residential Real Estate III [USD] 58142170 10.12.2021 937,13 -4,68% 6,06% -7,84%
Distributions depuis le lancement: USD 112,50
PRISMA ESG Sustainable SOCIETY I [USD] 117620113 22.07.2022 1’690,16 4,82% 22,02% 69,02%
PRISMA ESG Sustainable SOCIETY II [USD]* 117620124 22.07.2022 1’693,21 4,83% 22,07% 69,32%
MSCI World TR Net 2,00% 19,78% 73,96%
PRISMA ESG Global Emerging Markets Equities I 112848829 01.04.2022 1’592,06 5,22% 20,76% 20,03%
PRISMA ESG Global Emerging Markets Equities II* 27699766 26.06.2015 1’594,92 5,23% 20,81% 59,49%
MSCI Emerging Markets TR Net 5,11% 17,69% 57,31%
Obligations
PRISMA ESG World Convertible Bonds I 111735898 01.04.2022 1’383,76 2,48% 3,08% -4,41%
PRISMA ESG World Convertible Bonds II* 1179845 26.01.2001 1’386,24 2,49% 3,12% 38,62%
PRISMA ESG World Convertible Bonds III 111735916 01.04.2022 1’387,74 2,49% 3,15% -4,14%
FTSE Global Focus Convertible Bond Index 1,98% 4,74% 34,68%
PRISMA ESG Global Credit Allocation I 117069211 01.04.2022 959,02 0,49% 1,29% -9,47%
PRISMA ESG Global Credit Allocation II* 27699760 08.05.2015 960,77 0,49% 1,33% -3,92%
PRISMA ESG Global Credit Allocation III 117069250 01.04.2022 961,77 0,50% 1,36% -9,21%
Bloomberg Global Aggregate Corporate TR Hedged1 0,21% 2,92% -0,61% 1
PRISMA Global Bonds III 36657868 31.03.2025 987,00 0,37% 0,66%
Bloomberg Global Aggregate TR Index Hedged 0,39% 0,88%
Infrastructure
PRISMA ESG Global Infrastructure III [USD] 121970706 22.02.2023 922,57 2 6,34% 2 -7,74% 2
Produits Alternatifs
PRISMA ESG Private Equity Co-Invest 1 I [USD] 113296599 30.11.2021 1’156,20 2 1,200 3
PRISMA ESG Private Equity Co-Invest 1 II [USD] 113296608 30.11.2021 1’164,49 2 1,203 3
PRISMA ESG Private Equity Co-Invest 2 I [USD] 140409997 16.10.2025 1’000,00 4
PRISMA ESG Private Equity Co-Invest 2 II [USD] 140409998 16.10.2025 1’000,00 4
PRISMA Alternative Multi-Manager II 124897318 31.01.2024 1’151,91 5 5,92% 5 15,19% 5
PRISMA Alternative Multi-Manager III 124897319 30.06.2023 1’180,20 5 6,07% 5 18,02% 5
PRISMA SHARP [USD] 27699704 31.12.2020 1’475,22 1,70% 12,92% 20,84%
PRISMA BEYONDER II 145898978 25.07.2025 1’040,35 1,66% 4,04%
Immobilier
PRISMA Previous Responsible Residential Real Estate 29801110 11.12.2015 1’164,17 6 17,89% 6
PRISMA Redbrix Real Estate [EUR] 38158212 11.12.2017 1’234,47 7 23,45% 7
S. E. & O.

Déclaration de consentement

En cliquant sur valider, vous acceptez les dispositions contractuelles essentielles à l’utilisation du site.
Plus d'informations sur les Conditions générales.