AST Swiss Life BVG-Mix Index 25

  • Fondazione d'investimento
  • Multi Asset

Product details

NAV Price
Current
N/A
Relative Performance
Since 1 Year
-0.07%
Evolution in reference currency (base value 100) 9698100102104106108Jun 25Nov 25Jun 2621
+4.85%
+4.84%
Jun 01, 2026
Show benchmark
    • 1
    Current
    • 2
    Benchmark
TimespanCurrentBenchmarkDiff.
3 months-1.37%-1.32%-0.05%
6 months-0.21%-0.11%-0.10%
Year to date-1.37%-1.32%-0.05%
1 year+2.92%+2.99%-0.07%
3 yearsN/AN/AN/A
5 yearsN/AN/AN/A
10 yearsN/AN/AN/A
Since inception+3.53%+3.62%-0.09%
Aggregated performance data last updated on Mar 31, 2026 Past performance is no indication of current or future performance. Fees and commissions incurred at fund level are included in the performance indicated. However, the performance data do not take account of the commissions and costs incurred on the subscription and redemption of units or shares.

Strategy

Il gruppo d'investimento viene gestito con un approccio indicizzato; la quota azionaria strategica ammonta al 25%. Il gruppo d’investimento investe indirettamente, tramite investimenti collettivi indicizzati, a livello globale in azioni, in obbligazioni societarie e titoli di Stato nonché in immobili svizzeri, e si contraddistingue per un’ampia diversificazione.

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