Overview Investment Funds with Dynamic Allocation

In the case of our equity funds we aim for a long term investment horizon. The ARVEST Investment Committee continuously adjusts the equity ratio in the funds to changes in the environment with an anti-cyclical approach. The goal is to generate added value over an entire economic and financial market cycle.

In the case of our bond funds the weightage, term and currencies are adjusted continuously to changes in the environment with an anti-cyclical approach. The main objective is to achieve long term returns by investing in bonds worldwide and the simultaneous preservation of the value of the funds assets .

Since a sustainable increase in value is only possible by avoiding major losses the investment strategy for our funds allows for significant reduction of market risk by temporarily increasing liquidity. Risks associated with irrational market factors are thus effectively controlled.

ARVEST Global Stars Fund
Equity Fund
Date
31.03.2025
Current Price
CHF 1789.73
Year to Date
2.9%
Since Inception
118%
ARVEST America Stars Fund
Equity Fund
Date
31.03.2025
Current Price
USD 2623.34
Year to Date
5.3%
Since Inception
193.1%
ARVEST Eurasia Stars Fund
Equity Fund
Date
31.03.2025
Current Price
EUR 2471.51
Year to Date
1.6%
Since Inception
198%
ARVEST Solid Fund CHF
Bond Fund
Date
31.03.2025
Current Price
CHF 837.08
Year to Date
-0.1%
Since Inception
4.7%
ARVEST Solid Fund USD
Bond Fund
Date
31.03.2025
Current Price
USD 966.73
Year to Date
1.7%
Since Inception
49.6%
ARVEST Solid Fund EUR
Bond Fund
Date
31.03.2025
Current Price
EUR 926.92
Year to Date
0.6%
Since Inception
32.3%