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Performance
  Name 1 ISIN / Valor Currency NAV
1Yr 3Yr 5Yr Publications
CS (CH) Swiss Real Estate Securities Fund EB
Real Estate Funds
CH0214369099
21436909
CHF 1378.20
19.01.2018
10.02% 28.37%
CS (CH) Swiss Real Estate Securities Fund UA
Real Estate Funds
CH0265300464
26530046
CHF 11.65
19.01.2018
9.92% 28.00% 39.29%
CS (CH) Swiss Real Estate Securities Fund IB
Real Estate Funds
CH0110177422
11017742
CHF 1700.11
19.01.2018
9.92% 27.93% 40.35%
CS Real Estate Fund Siat
Real Estate Funds
CH0012913700
1291370
CHF 142.09
29.12.2017
8.80% 26.76% 43.35%
CS Real Estate Fund Green Property
Real Estate Funds
CH0100778445
10077844
CHF 112.87
29.12.2017
6.89% 26.50% 37.60%
CS (CH) Swiss Real Estate Securities Fund A
Real Estate Funds
CH0110177414
11017741
CHF 15.54
19.01.2018
9.42% 26.37% 37.52%
CS Real Estate Fund Interswiss
Real Estate Funds
CH0002769351
276935
CHF 180.52
29.12.2017
9.40% 12.93% 19.32%
CS Real Estate Fund LivingPlus
Real Estate Funds
CH0031069328
3106932
CHF 105.43
29.12.2017
4.50% 12.39% 33.85%
CS Real Estate Fund Hospitality
Real Estate Funds
CH0118768057
11876805
CHF 98.18
29.12.2017
1.02% 4.28% -2.54%
CS Real Estate Fund Global
Real Estate Funds
CH0139851676
13985167
CHF 95.90
29.12.2017
-2.75% 1.15% 0.71%
CSIF (CH) Europe ex CH Real Estate Index FA
Real Estate Funds
CH0336206773
33620677
CHF 1153.83
19.01.2018
23.70%
CSIF (CH) Asia Real Estate Index FA
Real Estate Funds
CH0336206765
33620676
CHF 1100.20
19.01.2018
10.80%
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.