FONDS NEWS 06.10.2025 By Eugen MelligerNews Fonds NAV per3.10.2025: CHF 15.79Performance 2025: 58.97% 16. Juni 2025
FONDS NEWS 03.05.2025 By Eugen MelligerNews Fonds NAV per02.05.2025: CHF 9.95Performance 2025: 0.3% 3. Februar 2025