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Specialized alpha strategies

Lupus alpha launches fund products in asset classes for which particular expertise is required. We offer actively managed, innovative investment solutions for professional as well as retail clients. We aim to position our funds in the top quintiles of their peer in the long term.

 

WKN: A0Q7VN | ISIN: LU0381944619
122.07 EUR
NAV from 07/01/2025
-0.33 %
T-1
+15.12 %
YTD
+32.78 %
5 Years
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WKN: A0M99W | ISIN: LU0329425713
144.85 EUR
NAV from 07/01/2025
-0.33 %
T-1
+15.57 %
YTD
+41.24 %
5 Years
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WKN: A1JDV6 | ISIN: DE000A1JDV61
241.24 EUR
NAV from 07/01/2025
-0.45 %
T-1
+10.42 %
YTD
+28.87 %
5 Years
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WKN: A1XDX7 | ISIN: DE000A1XDX79
135.79 EUR
NAV from 07/01/2025
-0.45 %
T-1
+10.05 %
YTD
+24.43 %
5 Years
More information
WKN: A2JB8X | ISIN: LU1891775774
152.41 EUR
NAV from 07/01/2025
-0.83 %
T-1
+7.30 %
YTD
+43.34 %
5 Years
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WKN: A2JB8Y | ISIN: LU1891775857
162.64 EUR
NAV from 07/01/2025
-0.82 %
T-1
+7.78 %
YTD
+49.16 %
5 Years
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WKN: 974563 | ISIN: LU0129232442
305.32 EUR
NAV from 07/01/2025
-0.62 %
T-1
+11.93 %
YTD
+44.97 %
5 Years
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WKN: 940639 | ISIN: LU0129232525
352.89 EUR
NAV from 07/01/2025
-0.62 %
T-1
+12.21 %
YTD
+48.94 %
5 Years
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WKN: 974564 | ISIN: LU0129233093
504.81 EUR
NAV from 07/01/2025
-0.99 %
T-1
+21.61 %
YTD
+32.49 %
5 Years
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WKN: 940640 | ISIN: LU0129233507
578.78 EUR
NAV from 07/01/2025
-0.99 %
T-1
+21.91 %
YTD
+36.13 %
5 Years
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WKN: A1J9DT | ISIN: DE000A1J9DT9
197.55 EUR
NAV from 07/01/2025
-0.33 %
T-1
+5.64 %
YTD
+24.90 %
5 Years
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WKN: A2DTNV | ISIN: DE000A2DTNV7
99.68 EUR
NAV from 07/01/2025
-0.33 %
T-1
+5.34 %
YTD
n.a.
5 Years
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WKN: A2H7DG | ISIN: LU1717012527
103.27 EUR
NAV from 07/01/2025
-0.49 %
T-1
+6.86 %
YTD
+2.38 %
5 Years
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WKN: A2DJR6 | ISIN: LU1535992389
115.18 EUR
NAV from 07/01/2025
-0.49 %
T-1
+7.18 %
YTD
+5.48 %
5 Years
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WKN: A2DTNQ | ISIN: DE000A2DTNQ7
101.2 EUR
NAV from 07/01/2025
-0.37 %
T-1
+5.73 %
YTD
+3.94 %
5 Years
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WKN: A2DTNW | ISIN: DE000A2DTNW5
88.34 EUR
NAV from 07/01/2025
-0.37 %
T-1
+5.39 %
YTD
n.a.
5 Years
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WKN: A1XDX3 | ISIN: DE000A1XDX38
107.2 EUR
NAV from 07/01/2025
+0.01 %
T-1
+2.06 %
YTD
+22.34 %
5 Years
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WKN: A1J9DU | ISIN: DE000A1J9DU7
126.89 EUR
NAV from 07/01/2025
+0.02 %
T-1
-4.35 %
YTD
+34.13 %
5 Years
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WKN: A0MS72 | ISIN: DE000A0MS726
142.08 EUR
NAV from 07/01/2025
-0.08 %
T-1
+2.14 %
YTD
+26.29 %
5 Years
More information
WKN: A0MS73 | ISIN: DE000A0MS734
66.55 EUR
NAV from 07/01/2025
-0.08 %
T-1
+1.87 %
YTD
+22.71 %
5 Years
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Actuellement, il n'y a malheureusement pas encore de fonds disponibles ici.