VI VorsorgeInvest - VI Obligationen Fremdwährungen Z header image

VI VorsorgeInvest - VI Obligationen Fremdwährungen Z

Fund

ISIN CH0231518728 / Valor 23151872

NAV (2026-09-18)
CHF 96.79-0.32%

VI VorsorgeInvest - VI Obligationen Fremdwährungen Z
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VI VorsorgeInvest - VI Obligationen F/w is a global bond fund investing in debt securities issued by governments, companies and other borrowers across different countries and currencies. It aims to provide income and diversification through a broad fixed-income portfolio rather than concentrating on one market or sector. Holdings can include sovereign bonds as well as corporate issues, giving investors access to a wide range of foreign-currency bond opportunities with exposure to various issuers and maturities.

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Tags:
corporate bonds bloomberg global aggregate index foreign bonds

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OTHER SHARE CLASSES OF THIS FUND

VI VorsorgeInvest - VI Obligationen Frremdwährungen IH
VI VorsorgeInvest - VI Obligationen Frremdwährungen IH VI VorsorgeInvest - VI Obligationen Frremdwährungen IH Valor: 14069119
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Annual Return

-50%0%+50%

Risk level

110
-0.27%CHF 96.71
VI VorsorgeInvest - VI Obligationen Fremdwährungen I
VI VorsorgeInvest - VI Obligationen Fremdwährungen I VI VorsorgeInvest - VI Obligationen Fremdwährungen I Valor: 23151506
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Annual Return

-50%0%+50%

Risk level

110
-0.32%CHF 84.27