| ISIN | Name | CUR | Product type | Min. invest.amount | Max. entry fee | Sector | Price | Year Performance | Last update UTC Universal Time Coordinated (UTC)
Please be aware that the time given hereinafter is stated in the Universal Time Coordinated (UTC) format as required by mandatory law. The respective Central European Time (CET) used in Austria, Germany and other central european countries may be obtained by adding one hour, the respective central european summer time (CEST) by adding two hours. |
Action |
|---|---|---|---|---|---|---|---|---|---|---|
| LU1480984845 | LO Funds - Asia Value Bond - NA USD ACC | USD | Fixed interest funds | 1,000,000.00 | 5.00% | - | 182.88 | +12.56% | Dec 22, 2025 09:00:00.000 |
|
| LU1480984928 | LO Funds - Asia Value Bond - ND USD DIS | USD | Fixed interest funds | 1,000,000.00 | 5.00% | - | 118.57 | +12.59% | Dec 22, 2025 09:00:00.000 |
|
| LU2852998454 | LO Funds - Asia Value Bond - ND3 USD DIS | USD | Fixed interest funds | 1,000,000.00 | 3.00% | - | 105.08 | - | Dec 22, 2025 09:00:00.000 |
|
| LU1480985222 | LO Funds - Asia Value Bond - PA USD ACC | USD | Fixed interest funds | 3,000.00 | 5.00% | - | 171.49 | +11.91% | Dec 22, 2025 09:00:00.000 |
|
| LU1480985495 | LO Funds - Asia Value Bond - PD USD DIS | USD | Fixed interest funds | 3,000.00 | 5.00% | - | 112.00 | +11.93% | Dec 22, 2025 09:00:00.000 |
|
| LU2113134121 | LO Funds - Asia Value Bond - PD3 USD DIS | USD | Fixed interest funds | 3,000.00 | 5.00% | - | 115.09 | +11.91% | Dec 22, 2025 09:00:00.000 |
|
| LU1480985578 | LO Funds - Asia Value Bond - RA USD ACC | USD | - | 1,000.00 | 3.00% | - | 93.80 | - | Dec 22, 2025 09:00:00.000 |
|
| LU2796589658 | LO Funds - Asia Value Bond - RD3 USD DIS | USD | Fixed interest funds | 1,000.00 | 3.00% | - | 98.13 | - | Dec 22, 2025 09:00:00.000 |
|
| LU1480985735 | LO Funds - Asia Value Bond - SA USD ACC | USD | Fixed interest funds | - | 0.00% | - | 188.90 | +13.23% | Dec 22, 2025 09:00:00.000 |
|
| LU3119428913 | LO Funds - Asia Value Bond - VA USD ACC | USD | Fixed interest funds | 1,000.00 | 0.00% | - | 10.53 | - | Dec 22, 2025 09:00:00.000 |
|
| LU3119429051 | LO Funds - Asia Value Bond - VD3 USD DIS | USD | Fixed interest funds | 1,000.00 | 0.00% | - | 10.25 | - | Dec 22, 2025 09:00:00.000 |
|
| LU1480985818 | LO Funds - Asia Value Bond, Syst. NAV Hd | EUR | Fixed interest funds | 1,000,000.00 | 5.00% | - | 136.21 | +10.11% | Dec 22, 2025 09:00:00.000 |
|
| LU1480985909 | LO Funds - Asia Value Bond, Syst. NAV Hd | EUR | Fixed interest funds | 1,000,000.00 | 5.00% | - | 94.27 | +10.12% | Dec 22, 2025 09:00:00.000 |
|
| LU1480986030 | LO Funds - Asia Value Bond, Syst. NAV Hd | EUR | Fixed interest funds | 3,000.00 | 5.00% | - | 132.50 | +9.79% | Dec 22, 2025 09:00:00.000 |
|
| LU1480986113 | LO Funds - Asia Value Bond, Syst. NAV Hd | EUR | Fixed interest funds | 3,000.00 | 5.00% | - | 86.98 | +9.81% | Dec 22, 2025 09:00:00.000 |
|
| LU1480986204 | LO Funds - Asia Value Bond, Syst. NAV Hd | EUR | Fixed interest funds | 3,000.00 | 5.00% | - | 128.95 | +9.47% | Dec 22, 2025 09:00:00.000 |
|
| LU1480986386 | LO Funds - Asia Value Bond, Syst. NAV Hd | EUR | Fixed interest funds | 3,000.00 | 5.00% | - | 87.60 | +9.48% | Dec 22, 2025 09:00:00.000 |
|
| LU1480986626 | LO Funds - Asia Value Bond, Syst. NAV Hd | EUR | Fixed interest funds | - | 5.00% | - | 129.92 | +11.80% | Dec 19, 2024 09:00:00.000 |
|
| LU1480986899 | LO Funds - Asia Value Bond, Syst. NAV Hd | CHF | Fixed interest funds | 1,000,000.00 | 5.00% | - | 11.79 | +7.66% | Dec 22, 2025 09:00:00.000 |
|
| LU1480986972 | LO Funds - Asia Value Bond, Syst. NAV Hd | CHF | Fixed interest funds | 1,000,000.00 | 5.00% | - | 7.83 | +7.68% | Dec 22, 2025 09:00:00.000 |
|
| LU1480987194 | LO Funds - Asia Value Bond, Syst. NAV Hd | CHF | Fixed interest funds | 3,000.00 | 5.00% | - | 11.50 | +7.37% | Dec 22, 2025 09:00:00.000 |
|
| LU1480987277 | LO Funds - Asia Value Bond, Syst. NAV Hd | CHF | Fixed interest funds | 3,000.00 | 5.00% | - | 7.11 | +7.38% | Dec 22, 2025 09:00:00.000 |
|
| LU1480987350 | LO Funds - Asia Value Bond, Syst. NAV Hd | CHF | Fixed interest funds | 3,000.00 | 5.00% | - | 10.48 | +7.03% | Dec 22, 2025 09:00:00.000 |
|
| LU1480987434 | LO Funds - Asia Value Bond, Syst. NAV Hd | CHF | Fixed interest funds | 3,000.00 | 3.00% | - | 9.77 | - | Dec 22, 2025 09:00:00.000 |
|
| LU1480987863 | LO Funds - Asia Value Bond, Syst. NAV Hd | GBP | Fixed interest funds | 1,000,000.00 | 5.00% | - | 132.37 | +12.32% | Dec 22, 2025 09:00:00.000 |

