Current Fund Prices

Redemption Prices Sauren Funds of Funds

Sustainable Funds of Funds

Sauren Nachhaltig DefensivCurrency14.08.Factsheet
Share Class A
LU1717046426 / A2H7ER
EUR11.05 EURFactsheet (on a daily basis)
Share Class X
LU0313461773 / A0MX7L
EUR14.23 EURFactsheet (on a daily basis)
Sauren Nachhaltig AusgewogenCurrency14.08.Factsheet
Share Class A
LU0313462318 / A0MX7N
EUR20.70 EURFactsheet (on a daily basis)
Share Class 3F
LU2322703146 / A2QRUS
EUR9.89 EURFactsheet (on a daily basis)
Share Class D
LU2385790584 / A3C2AS
EUR9.82 EURFactsheet (on a daily basis)
Sauren Nachhaltig WachstumCurrency14.08.Factsheet
Share Class A
LU0115579376 / 940641
EUR25.11 EURFactsheet (on a daily basis)

Multi-Asset Funds of Funds

Sauren Global DefensivCurrency14.08.Factsheet
Share Class A
LU0163675910 / 214466
EUR17.45 EURFactsheet (on a daily basis)
Share Class C
LU0580225604 / A1H599
CHF10.10 CHFFactsheet (on a daily basis)
Share Class D
LU0313459959 / A0MYJG
EUR11.60 EURFactsheet (on a daily basis)
Share Class 2F
LU0731594668 / A1JSNR
EUR8.72 EURFactsheet (on a daily basis)
Sauren Global ModerateCurrency14.08.Factsheet
Share Class A
LU1525525306 / A2AN1Y
EUR11.09 EURFactsheet (on a daily basis)
Sauren Global BalancedCurrency14.08.Factsheet
Share Class A
LU0106280836 / 930920
EUR22.20 EURFactsheet (on a daily basis)
Share Class B
LU1057097732 / A111TP
EUR13.25 EURFactsheet (on a daily basis)
Share Class C
LU0580224623 / A1H595
CHF13.04 CHFFactsheet (on a daily basis)
Share Class D
LU0318491288 / A0MZ0S
EUR13.31 EURFactsheet (on a daily basis)
Sauren Global Stable GrowthCurrency14.08.Factsheet
Share Class A
LU0136335097 / 791695
EUR33.64 EURFactsheet (on a daily basis)
Share Class B
LU1057098110 / A111TQ
EUR15.15 EURFactsheet (on a daily basis)
Share Class D
LU0318492419 / A0MZ0U
EUR19.78 EURFactsheet (on a daily basis)
Sauren Emerging Markets BalancedCurrency14.08.Factsheet
Share Class C
LU0580224201 / A1H6AF
CHF11.19 CHFFactsheet (on a daily basis)
Share Class D
LU0580224037 / A1H6AE
EUR12.08 EURFactsheet (on a daily basis)

Equity Funds of Funds

Sauren Global GrowthCurrency14.08.Factsheet
Share Class A
LU0095335757 / 989614
EUR50.15 EURFactsheet (on a daily basis)
Share Class B
LU1057097575 / A111TN
EUR19.98 EURFactsheet (on a daily basis)
Share Class D
LU0318489035 / A0MZ0R
EUR21.81 EURFactsheet (on a daily basis)
Sauren Global OpportunitiesCurrency14.08.Factsheet
Share Class A
LU0106280919 / 930921
EUR41.42 EURFactsheet (on a daily basis)

Absolute Return Funds of Funds

Sauren Absolute ReturnCurrency14.08.Factsheet
Share Class A
LU0454070557 / A0YA5P
EUR12.15 EURFactsheet (on a daily basis)
Share Class D
LU0454071019 / A0YA5Q
EUR11.65 EURFactsheet (on a daily basis)
Share Class C
LU0580226594 / A1H6AD
CHF10.41 CHFFactsheet (on a daily basis)
Sauren Dynamic Absolute ReturnCurrency14.08.Factsheet
Share Class D
DE000A1WZ3Z8 / A1WZ3Z
EUR10.62 EURFactsheet (on a daily basis)
Sauren Global HedgefondsCurrency16.07.Factsheet
Share Class A
LU0191372795 / A0CAV2
EUR16.27 EURFactsheet (by the end of month)

Information is supplied without guarantee!

The performance (BVI method) is based on the published redemption prices of the fund of funds, which includes all costs incurred at the fund level. The figures on performance do not take into account the relevant front-end load, which would reduce performance. Additional costs may be incurred at the investor level (e.g. custody costs). The fund is subject to heightened volatility, due to composition. Consequently, unit price may fluctuate sharply in either direction within short periods of time.

Past performance is not a reliable indicator of future performance.

Information is supplied without guarantee!

The fund is subject to heightened volatility, due to composition. Consequently, unit price may fluctuate sharply in either direction within short periods of time.

This information constitutes neither an offer nor a solicitation to buy shares of any investment funds. Comprehensive information regarding opportunities and risks can be found in the current sales prospectus. Any investment application will be made solely on the basis of the information contained in the Key Information Document (PRIIP-KID), the sales prospectus for that fund including all the terms of contract, the management regulation and the investment conditions, the most recently published and audited annual report and the last unaudited semi-annual report, which can be obtained in German from Sauren Fonds-Service AG, P.O. Box 10 28 54, 50468 Cologne, Germany (or online at www.sauren.de) and the custodian IPConcept (Luxemburg) S.A., société anonyme (or online at www.ipconcept.com) or - for Sauren Dynamic Absolute Return - from the Investment Management Company HANSAINVEST (www.hansainvest.de), free of charge. The management company can decide to de-notify the arrangements made for the marketing of the funds pursuant to Article 93a of Directive 2009/65/EC and Article 32a of Directive 2011/61/EU. Further information on investor rights is available in German on the management company's website at https://www.ipconcept.com/ipc/de/anlegerinformation.html.