Index Fonds - SPI®
| 205.70 | |
| -0.20% (-0.41)· 29.10.2025 | |
| Valor | 12092756 |
| Währung | CHF |
| Börse | SFD |
| +/- % | -0.20% |
| +/- | -0.41 |
| NAV Vortag | 206.11 |
| NAV Datum | 29.10.2025 |
| YTD % | +9.84% |

| 205.70 | |
| -0.20% (-0.41)· 29.10.2025 | |
| Valor | 12092756 |
| Währung | CHF |
| Börse | SFD |
| +/- % | -0.20% |
| +/- | -0.41 |
| NAV Vortag | 206.11 |
| NAV Datum | 29.10.2025 |
| YTD % | +9.84% |
