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Performance
  Name 1 ISIN / Valor Currency NAV
1Yr 3Yr 5Yr Publications
CSA Equity Small & Mid Cap Switzerland L
CS Anlagestiftung
CH0031810531
3181053
CHF 3184.95
19.01.2018
29.85% 55.18% 122.14%
CSA Equity Small & Mid Cap Switzerland
CS Anlagestiftung
CH0010391941
1039194
CHF 3101.71
19.01.2018
29.59% 54.25% 119.92%
CSA Nippon Index L
CS Anlagestiftung
CH0018705464
1870546
CHF 1468.32
19.01.2018
18.53% 35.17% 77.61%
CSA Nippon Index
CS Anlagestiftung
CH0003493514
349351
CHF 1157.28
19.01.2018
18.41% 34.71% 76.63%
CSA 2 US Index L
CS Anlagestiftung
CH0019162814
1916281
CHF 2472.41
19.01.2018
16.57% 34.11% 117.39%
CSA 2 US Index
CS Anlagestiftung
CH0003493530
349353
CHF 2490.74
19.01.2018
16.45% 33.68% 116.25%
CSA Fund Selection Equity Dragon Countries
CS Anlagestiftung
CH0001354049
135404
CHF 1365.52
19.01.2018
30.20% 30.01% 52.87%
CSA Fund Selection Equity USA
CS Anlagestiftung
CH0127015789
12701578
CHF 2222.73
18.01.2018
16.49% 29.83% 106.43%
CSA 2 World Index L
CS Anlagestiftung
CH0019167409
1916740
CHF 2153.69
19.01.2018
17.28% 29.39% 86.11%
CSA 2 World Index
CS Anlagestiftung
CH0019158911
1915891
CHF 2097.63
19.01.2018
17.16% 28.97% 85.11%
CSA Fund Selection Equity Switzerland L
CS Anlagestiftung
CH0107348465
10734846
CHF 2045.74
18.01.2018
23.29% 28.68% 79.88%
CSA Fund Selection Equity Switzerland
CS Anlagestiftung
CH0107330711
10733071
CHF 2028.41
18.01.2018
23.17% 28.30% 78.99%
CSA Real Estate Switzerland Pooled Investments M
CS Anlagestiftung
CH0200253240
20025324
CHF 2039.36
19.01.2018
9.00% 26.68%
CSA Fund Selection Equity Emerging Markets
CS Anlagestiftung
CH0010628359
1062835
CHF 1607.27
18.01.2018
29.07% 25.29% 31.31%
CSA Fund Selection Equity Europe L
CS Anlagestiftung
CH0019579736
1957973
CHF 1748.33
18.01.2018
25.91% 24.90% 64.79%
CSA Fund Selection Equity Europe
CS Anlagestiftung
CH0002875026
287502
CHF 2860.33
18.01.2018
25.78% 24.53% 63.96%
CSA Real Estate Switzerland Pooled Investments L
CS Anlagestiftung
CH0031094334
3109433
CHF 1983.42
19.01.2018
8.40% 24.53% 37.59%
CSA Real Estate Switzerland Pooled Investments
CS Anlagestiftung
CH0031081455
3108145
CHF 1964.03
19.01.2018
8.29% 24.16% 36.94%
CSA Equity Switzerland L
CS Anlagestiftung
CH0045417935
4541793
CHF 2710.11
19.01.2018
21.25% 23.03% 71.28%
CSA Equity Switzerland
CS Anlagestiftung
CH0002875679
287567
CHF 2591.78
19.01.2018
21.12% 22.63% 70.34%
CSA Energie-Infrastruktur Schweiz L
CS Anlagestiftung
CH0226566880
22656688
CHF 1196.70
30.09.2017
10.07% 19.85%
CSA Euro Index L
CS Anlagestiftung
CH0018705498
1870549
CHF 1714.70
19.01.2018
20.62% 19.65% 50.85%
CSA Euro Index
CS Anlagestiftung
CH0003493498
349349
CHF 1584.92
19.01.2018
20.49% 19.27% 50.04%
CSA Real Estate Germany
CS Anlagestiftung
CH0235477517
23547751
CHF 1192.29
29.09.2017
9.25% 19.23%
CSA 2 Mixta-BVG 45 L3
CS Anlagestiftung
CH0231136620
23113662
CHF 1288.27
19.01.2018
9.87% 16.18%
CSA Real Estate Switzerland Residential
CS Anlagestiftung
CH0025226090
2522609
CHF 1695.83
19.01.2018
5.09% 15.62% 26.45%
CSA 2 Mixta-BVG 45
CS Anlagestiftung
CH0008879097
887909
CHF 1516.05
19.01.2018
9.67% 15.55% 38.26%
CSA Real Estate Switzerland
CS Anlagestiftung
CH0013123002
1312300
CHF 1753.34
19.01.2018
4.59% 14.70% 26.33%
CSA Swiss Index L
CS Anlagestiftung
CH0018705472
1870547
CHF 2309.98
19.01.2018
17.76% 14.55% 59.44%
CSA Swiss Index
CS Anlagestiftung
CH0008879121
887912
CHF 1824.10
19.01.2018
17.63% 14.18% 58.58%
CSA Real Estate Switzerland Commercial
CS Anlagestiftung
CH0113543620
11354362
CHF 1414.11
19.01.2018
4.03% 13.95% 25.41%
CSA 2 Mixta-BVG 35
CS Anlagestiftung
CH0008879048
887904
CHF 1478.00
19.01.2018
8.00% 13.53% 32.26%
CSA Mixta-BVG Index 45 I
CS Anlagestiftung
CH0112695736
11269573
CHF 1503.45
19.01.2018
8.49% 13.53% 35.24%
CSA Mixta-BVG I
CS Anlagestiftung
CH0027333191
2733319
CHF 1467.09
19.01.2018
8.00% 13.48% 31.86%
CSA Equity Linked Bonds
CS Anlagestiftung
CH0002875729
287572
CHF 2663.15
19.01.2018
7.72% 12.06% 41.99%
CSA 2 Mixta-BVG 25
CS Anlagestiftung
CH0008879022
887902
CHF 1519.54
19.01.2018
6.08% 10.90% 24.95%
CSA 2 Private Equity
CS Anlagestiftung
CH0011378228
1137822
CHF 1744.70
30.11.2017
6.03% 9.47% 45.41%
CSA 2 Mixta-BVG 25 Plus
CS Anlagestiftung
CH0112172850
11217285
CHF 1325.76
19.01.2018
5.14% 8.81% 22.82%
CSA Mixta-BVG Basic L3
CS Anlagestiftung
CH0231135580
23113558
CHF 1091.89
19.01.2018
1.59% 5.67%
CSA Mixta-BVG Basic L2
CS Anlagestiftung
CH0248693423
24869342
CHF 1069.94
19.01.2018
1.57% 5.60%
CSA Mixta-BVG Basic I
CS Anlagestiftung
CH0015036608
1503660
CHF 1372.20
19.01.2018
1.55% 5.53% 9.92%
CSA Bonds USD
CS Anlagestiftung
CH0003925788
392578
CHF 1323.95
19.01.2018
0.12% 5.00% 16.22%
CSA Mid Yield Bonds CHF
CS Anlagestiftung
CH0010823323
1082332
CHF 1439.29
19.01.2018
1.16% 4.93% 11.36%
CSA Global Corporate Bonds Hedged
CS Anlagestiftung
CH0139534397
13953439
CHF 1198.57
19.01.2018
3.28% 4.69% 11.02%
CSA International Bonds
CS Anlagestiftung
CH0002875661
287566
CHF 1175.34
19.01.2018
2.42% 4.37% 7.14%
CSA Swiss Bonds CHF
CS Anlagestiftung
CH0002875653
287565
CHF 1751.22
19.01.2018
0.09% 3.16% 7.75%
CSA Inflation Linked Bonds CHF
CS Anlagestiftung
CH0017646784
1764678
CHF 1167.21
19.01.2018
0.21% 2.36% -1.46%
CSA Foreign Bonds CHF
CS Anlagestiftung
CH0002875711
287571
CHF 1370.36
19.01.2018
0.05% 1.98% 6.18%
CSA Hypotheken Schweiz
CS Anlagestiftung
CH0002875737
287573
CHF 1211.78
19.01.2018
0.31% 1.67% 3.31%
CSA Bonds EUR
CS Anlagestiftung
CH0002875018
287501
CHF 1227.60
19.01.2018
9.00% 0.77% 12.17%
Show all 68 funds
1)
For information purposes only. On no account does the information supplied constitute an offer or a recommendation to buy or sell the investment funds, nor is it to be regarded as financial, taxation or other professional advice. Credit Suisse provides no guarantee with regard to the accuracy or completeness of the information and opinions supplied and does not accept any liability for losses which might arise from making use of this information or opinions. The investment funds may be purchased only on the basis of the most recent sales prospectus, the key investor information document (if a UCITS) and the most recent annual report (or half-yearly report, if this is more recent), which are all available from this website. These documents contain more complete and detailed information of risk, fees, charges and expenses that are to be borne by an investor and therefore should be read carefully before investing. Investing in investment funds involves risk, including possible loss of principal. There is no assurance that the investment objective of any investment fund will be achieved. Past performance is no reliable indicator of future results. If not indicated otherwise, the fund performance is calculated in the fund currency; returns in other currencies may be higher or lower as a result of currency fluctuations. Performance indications do not consider commissions levied at subscription and/or redemption; performance would be lower if such commissions were included.