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Quantex Multi Asset Fund EUR -I-

Client Profile

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Performance

Class Date NAV Previous Day YTD Facts KID
01.10.2025
162.16
0.3%
4.4%

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Performance table

Quantex AIF Funds - Multi Asset (EUR) I 50% Bloomberg World Net Return Index in EUR / 50% Bloomberg Global Bond TR Index EUR
October 25 0.3% 0.5%
current year 4.4% 1.2%
1 year 6.5% 6.0%
2 years 16.8% 24.5%
3 years 22.5% 29.0%
since inception 62.2% 33.3%
  • Reference date: 1.10.2025
  • Inception date: 29.12.2020

Sectors


Regions


Info

Valor 58051691
ISIN LI0580516917
WKN A2QLGU
Management Fee 0.75% p.a.
Ongoing Costs (TER) 0.9% per 06/30/2025
Subscription / Redemption daily, until noon by the custodian bank
Inception Date 29. Dezember 2020
Domicile Liechtenstein
Investor Type Professional Investors
Distribution Countries DE,LI; AT for professional Investors
Tax Compliance AT,CH,DE
Asset Manager Quantex AG
Fund Management LLB Fund Services AG, Vaduz
Custodian Bank Liechtensteinische Landesbank AG, Vaduz
Auditor Grant Thornton AG, Schaan
Contact