Volltext: Liechtensteiner Volksblatt (2005)

FREITAG, 16. DEZEMBER 2005 BLATT 
I ANLAGEFONDS 
15 Netto-Inventarwerte der liechtensteinischen Anlagefonds bfw tondaMtung ag Mflterfwfcirasse 5 Postfach 1617 FL-9490 Vaduz wwwbfwgroupch MflMIBBBI bfw global first setection fund (CHF) t bfw global flrst selection fund (EUR) t incoin seledlon fund t BBIIBAflBBIBIBBM bfw global bond setection fund (CHF)t bfw global bond setection fund (EUR)t 
Tel. >423231 17 00 Fax »423 231 17 01 into@W*groupch 7.93% CHF 130.05 5.59% EUR 104.45 9.51% CHF 117.05 1,37% CHF 1.72% EUR 
101.90 105.30 Classic Fund Management AG Rätftonstrasse 33 9490 Vaduz 
Tel. 
*423/232 37 39 Fax 
*423/233 30 50 wwwctassicfundü bwm@bwmch mtiibibhbi Classic Global Equity Fund w Classic Leveraged Equity Fund w Classic Value Equity Fund w 
33.77% CHF 392.00 36.70% CHF 371.45 17.47% CHF 121.95 Crystal Fund Management AG Landsir 8 9496 Bafeers 
Tel +423/366 9999 Fax *423/3889990 wwAtcrystal-fund.li cfm@crystaMund.li miiibibbbi B&PVfeän-Q-Seiec&nSvMtzBrfandt B & P Vision Global Equity Setection t B & P Vision OptiMix World t B & P Vision - Q-Selection North America t BFCMasterlnd-Akten Eircpa w BFCMasterfund-AktienNorlhAmerica w BFCMastatad- AMien VtechslirrerrwHe w Zeus Covered Call Fund w BBCIIBBBI Epikur Fund - Flux 
1.38% CHF 20.14% EUR 21.61% EUR 8.86% USD 19.71% EUR 1.71% USD 20.49% EUR 17.03% EUR 
101.38 51.25 146.53 141.37 122.42 109.85 120.49 60.96 w 19.87% EUR 100.03 ••UMiiMiar»»! B & P Vision Global Bond Setection t BFCMasteflndHgî YBtdLow\fcla(*y w BFCMastBriürcl-Obfgalianen Global w IBBIflBI 
ibbbi BFCAIMS Products Fund 
2.14% EUR 5.13% EUR 2.06% EUR 
109.44 117.27 102.58 w 8.14% CHF 91.95 fi 
First Liechtenstein Investment Toi +423/2351942 Fonds Verwaftungs-AC Fax +423/235 16 66 Horrongasso 12 9490 Vaduz  vwAvlgt.com Igt 
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17.85% CHF t 
20.67% CHF 
122.29 125.09 Fortuna Inrntmanl Rßbkonstrasse 13 9490 Vaduz _ *4 •laifcm roHii Fortuna Eunope Balanced Fund CHF t Fortuna Europe Balanced Fund EUR t 
Tel »423/232 05 92 Fa* »423/236 1548 wwv/fortunairwest Ii *MÄtmefi!@genefaS ch 7.18% CHF 9.07% EUR 
98.17 111.98 Fortuna Short Tenn Bond Fund CHF t -0.52% CHF 530.94 m | GlotoaJ Fund Services AG Stddtto 17 9490 Vaduz 
Tei +423/236 94 00 Fax +423/236 94 06 wwwgfs h info@gfs.li MfllBIBBII Basic Star t Columbus Global Trend Fund w Ciaton Capital Melchior Precious MetalFund t FAM American Equity Fund w Helvetic Trust Greater China Fundw LC Trading Fund m Regiofonds Zürichsee t All-in-one Fund of Funds m IICIIHH RBgasusWorid Equity FoF t »•liHTi riiii Alpine Global Balanced Fund v Aran Global Portfolio w AranSercor Global Portfolio (USD) w iinnii »Mi AMCFM Global Opportunibes Fund w AVD British Life Fund m Mothflr Earth Resources Fund w Prime Invest Forex Bond Fund w H. Sinfonie Fund m 
12.20% CHF 22.49% CHF 18.84% USD -5.49% USD 7.05% CHF 6.95% CHF 22.10% CHF 0.00 CHF 
111.90 102.05 124.66 44.93 107.05 106.95 122.10 100.00 in Liquidation 12.41% EUR 10.32% EUR 3.89% USD 3.85% CHF 4.94% EUR 13.71% USD 0.29% EUR 4.09% CHF 
111.52 82.00 111.27 103.85 104.94 97.48 100.29 104.25 Hannann Fbanca AßmvK Landstrassefl 9496 Batzers IIMIII AKTIII Silicon Valley Equities 
Tel +423/368 99 99 Fax +423/388 99 90 wwwh6rmannfinanoe.com nfo@hermannfinanc8.com in Liquidation I D 
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954.48 272.01 • m 
» Institutiontfla Fondsleltung AG Tei. *423/233 47 07 IpAb Dr.Grass-Strasse 6 Fax *423/233 47 08 9490 Vaduz MfllBIBBBI Accuro Global Focus Fund Accuro Global Tactical Fund Accuro Global Top 20 Fund GLOBe-valor Fund IFAG 
Global Indexed Equity Fund IFAG Natural Resources Fund IMMIM IMM Global Property Fund Asia Global Property Fund Emerging Martets Global Property Fund Europe Global Property Fund North America m 25.24% CHF 124.40 IFAG Emerging Local Currency DeptFund 14t 3.13% EUR 83.95 
t 
22.06% CHF 127.00 w 
14.50% CHF 
111.65 w 
31.46% CHF 146.50 w 28.72% CHF 
197.45 m 
24.66% CHF 127.40 m 
43.14% USD 175.50 m 28.28% 
CHF 129.15 m 16.83% 
CHF 117.20 m 20.73% CHF 
121.30 
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14t 2.94% CHF 129.45 14t 0.95% EUR 100.95 FM Indapandant Fund Management AG Awtrasse9 9490 Vaduz 
Tel *423/235 04 50 Fax+423/235 04 51 wwwnfmfundscom Km@tkQcom MTIIRIMM Aquila International Fund - Acatls European Equity (EUR) Aquila International Fund - Corby Swiss Equity Aquila International Fund - Global Equity (CHF) CATAM European Equity Fund CATAM Japan Advantage CATAM Rising Sun CATAM Swiss Equity Fund CBR Strategy Fund - Target DJD IndexTracker PLUS - DJ EURO STOXX 50 DJD IndexTracker PLUS - S&P 500 DJD IndexTracker PLUS - SMI GFA International Fund - Equity Growth (EUR) HRI Relative Invest - Emerging Markets Equity (USD) HRI Relative Invest - North America Equity (USD) HRI Relative Invest - Universe Equity (EUR) Japan Event Odyssey Technology Fund Principal Equity Fund - Europe Principal Equity Fund - Japan Blue Chips Principal Equity Fund - Japan Small & Mid Caps w RF1NANZ Precious Matal Find (USD) w Scherrer Small Caps Europe w CAHVIlfIBtl IINBI H A M Global Convertible Bond Fundw Principal Asia Convertible Bond Fund w WAM Convertible Ftortfbtio (EUR) A w WAM Convertible Rortfolio (EUR) B w BACBIBBBI Allernatrend Fund v FOF Infotech Setection w FOF Life Science Selection w •••»CHI IBBBI Aquila Trend Invest w CATAM Global Strategies Fund v C8R Stategy Find - htermedab (EUR)w w w w w w w w w w w w w 
27.21 % EUR 27.60% CHF 27.98% CHF 17.56% EUR 34.55% CHF 41.79% CHF 34.75% CHF 10.32% EUR 
1'375.04 1*177.94 646.81 941.59 966.46 1'685.23 984.83 1'026.35 w 3.98% EUR 1'039.85 3.56% USD 3.26% CHF 34.29% EUR 9.85% USD 7.68% USD 14.74% EUR 15.24% CHF -6.85% USD 22,15% EUR 
1'035.63 1*032.62 112.98 160.55 118.38 122.88 V152.39 1'053.50 1'044.19 W 
31.67% JPY 6'477.00 35.50% JPY 27.24% USD 41.91% EUR 
8'675.00 127.88 151.82 8.23% EUR 1*124.80 19.36% CHF 1724.39 3.56% EUR 1'035.59 4.14% EUR 1'041.44 -2.50% USD 1'213.50 9.90% EUR 579.73 10.89% EUR 716.77 Cumbria Global Fund DJD Absolute Return Fund Dynatrend Fund Hermanek Opportunitas Fund Hermes Fund Matterhorn Special Fund PSP Global Invest RFINANZ Strategy Fund -Balanced (CHF) Talanton Fund - Portfolio (EUR) Talanton Fund - Portfolio (USD) WAM Strategy Porfolio (EUR) A WAM Strategy Portfofo (EUR) B BBtlBMIBBIBIBBBI Aquila International Fund - Global Bond (CHF) w CBR Strategy Fund - Constant w IBBIflBI IBBBI CATAM Alternative Investment Fund m CATAM Alternative Investment Fund v CBR Alternative Investment v DJD Yield PLUS - EUR w DJD Yield PLUS - USD w GFA International Fund - Opportunity (EUR) v HRI Alternative Irwast - Compass Global (USD) m HRI Alternative Invest -Sonar Global v Median Fund w Multinova Currency Fund w Pam Alternative Invest - Fixed Income Strategies (EUR) m Pam Alternative Invest - Selected Strategies (EUR) m 
7.57% EUR 14.05% CHF 5.64% EUR 5.88% USD 4.64% CHF 20.74% CHF 13.52% CHF 14.89% CHF 10.00% EUR 0.03% EUR 
1 '075.65 1'072.19 1'056.38 V312.84 V026.93 798.93 917.20 1'137.00 110.00 100.03 16.41% CHF 114.62 10.44% EUR 1'052.72 0.82% USD 1'008.98 9.26% EUR 1'092.62 10.57% EUR 1-105.74 3.41% CHF 1'114.14 5.14%. EUR V041.58 0.43% CHF 1'011.94 1.56% USD V291.09 1.81% USD 1'018.14 -0.04% EUR 999.58 -0.45% USD 995.49 20.52% EUR 64.55 -3.97% USD -12.28% CHF -0.95% CHF -8.89% CHF 
960.26 868.72 990.46 911.08 -0.15% EUR 1'022.25 -1.46% EUR V009.37 International« Food« Sarvica AG IlFOS MfllBIBBBI Admiral Global Equity Fund w AiedFrarcBFind-GrwMrancheA w Afed France Find-GnavtiTrancheB w ICSG Premium World Fund Oak Tree Junior Mrwig Oak Tree Smal & Md Caps EuopeFind Oak Tree Value & Growth North America Fund RVT Wachstum Fund The Cronos Global Fund Value Hoktngs Capital Partners Fund t •IBIlCBfl VOMI Aquarius Selected Fund w FPM Portfolio Defensiv+ w 
Tel *423/235 63 79 Fax *423/235 76 84 wwwvpbank.com ifos@vpbenk.com 16.84% CHF 20.79% EUR 20.79% EUR w 16.55% CHF 141 12.42% CAD 
34.27 931.28 931.28 81.12 112.42 14t 25.22% EUR 101.48 14t 8.24% USD w 15.98% CHF w 26.46% EUR 
117.55 114.94 132.81 22.50% EUR 1768.25 -1.56% EUR 5.01 % CHF 
98.44 107.70 BBtlBAflBBIBIBBBI RVT Ertrag Fund IBBIflBI IBBBI Alegra ABS I (Euro) Fund Homet Opportunity I7S Equity Fund LNAM Future Trading Fund PTAM Long/Short German Equity Fund 
w 4.14% CHF 102.77 m 10.69% 
EUR CD 
k> Od w 44.00% EUR V440.04 w 8.73% 
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1.19% EUR 101.89 0.10% EUR 1'000.97 0.62% USD 1'007.51 U5T Funds Herrengasse 12 9490 Vaduz 
Tel. +423/235 19 42 Fax +423/2351666 wwwigtaom LOT Investments AG MfllBIBBBI ' LGT Equity Fund Germany t LGT Equity Fund Switzertand t LGT Equity Fund United Kingdom t 
20.90% EUR 858.56 29.08% CHF 2'255.80 13.92% GBP 1'472.64 LjQTFoncfcMtungAG MfllBIBBBI LGT Equity Fund Preckxis Melal t 17.91% USD 857.96 BMUCBU FBBBI ' -• < LGT Strategy 1 Year (CHF) t 0.10% CHF 1'098.70 i:.V'25S 
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1 Year (EUR) 2 Yeara (CHF) 2 Years EUR) 3 Years (CHF) 3 Years EUR) 4 Years (CHF) 4 Years (EUR) 5 Years (CHF) 5 Years (EUR) 
0.96% EUR 0.09% CHF 1.94% EUR 5.63% CHF 6.87% EUR 11.83% CHF 13.41% EUR 16.08% CHF 16.92% EUR 
1'223.71 1'116.50 1'270.70 V094.55 1'203.23 1'058.50 1-162.99 1'183.60 1'198.90 LOT Fund» AG AnligmmlhcmftnwK MmUBtBIIIIB LGT Equity Fund Asia/Pacific ex Japan (USD) LGT Equity Fund Continental Europe (EUR) LGT Equity Fund Global Sector Trends (USD) LGT Equity Fund Japan (JPY) LGT Equity Fund North America (USD) IIBMM BIIBMftBM ^ LGT Money Market Fund (CHF) LGT Money Market Fund EUR) LGT Money Market Fund (USD) MBMBflBBlIBMIBNI» LGT Bond Fund (CHF! LGT Bond Fund (EUR! LGT Bond Fund (USD) LGT Bond Fund Global (EUR) LGT Bond Fund Global Inflation Unked (EUR) 
12.60% 
USD 1'604.92 21^2% EUR 728.17 15.58% 37.84% 
USD JPY 
1*519.17 765.00 10.38% USD 2'093.11 ' 0.57% 1.65% 2.62% 
CHF EUR USD 
1'093.70 630.20 1*284.21 0.88% CHF 1'318.20 4.41 % EUR 814.34 1.41% USD 1712.35 7.54% EUR 1'058.63 t 0.53% EUR 909.37 LLBFondsWtungAO Städte 17 9490 Viaduz 
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CHF 108.20 CHF 104.15 CHF 114.95 CHF 108.85 CHF 43.30 CHF 229.95 EUR 85.23 JPY 13'573.00 
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100.45 109.05 114.18 100.20 105.42 111.05 93.75 124.45 76.16 152.19 100.23 100.72 fr 
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13.06% CHF 9.29% EUR 
77.20 40.11 1.68% EUR 101.58 4.08% EUR 92.11 2.20% CHF 118.80 -0.68% EUR 98.86 -0.97% EUR 98.36 MSbrast AGmvK Landstrasse 330 Postfach 513 Fl-9495 Thesen IBBIflBI IBBBI Master Stocks Index 
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w 15.54% EUR 128.34 w 17.64% EUR w 29.64% EUR 
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3.74% USD 22.82% EUR 40.79% JPY 6.36% EUR 
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w 180.25% EUR 2'094.82 w 94.91% EUR 1*516.06 Legende: 1.) Fondsname bzw. Segmenttnanw 2.) HamMbwtett (m)«mon«tllch PHigflch (w)^*6ch«ntllch (14tHri*raihntilalg (v)-vaiMMi 3.) P*fiorm«)c* satt 1.1.2005 bzw. «alt Emission 4.) Rafertnxwlhrunfl 5.) Nattolnventaiwert •/- Kommission Kurungaben ohne Gawihr
	        

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