Figures refer to the share class ISIN LU1555549754, currency EUR, clean share class.
Fund documents
For the share class shown above.
Factsheet: not publicly available (no public copy is published).
KID: not publicly available (no public copy is published).
Key facts
Management company
MOMentum Alternative Investments S.A.
Asset class
Alternative
Geography
Global
Strategy
Multi-Strategy
Share class currency
EUR
Share class inception
20.02.2017
Fund size
186 million (as at 14.09.2026)
Management fee
Not available in this publication
Performance fee
No
Liquidity
Not available in this publication
UCITS
Yes
Risk grade (SRRI)
Not available in this publication
Registered in Switzerland
No (qualified investors only)
Price history
Fund and benchmark rebased to 100 at 30.09.2021.
Table view
Period
From
Fund (100 at start)
Benchmark (100 at start)
1Y
03.10.2025
103.0
108.2
3Y
29.09.2023
123.8
130.1
5Y
30.09.2021
104.3
149.8
Since 2017
31.10.2019
108.4
166.2
NAV per share, distributions not reinvested. The benchmark is a total-return index and includes reinvested income. In EUR, the currency of the share class shown. Fund history to 28.09.2026. Benchmark history to 28.09.2026. Past performance is not a reliable indicator of future results, and the value of investments can fall as well as rise.
Performance against the benchmark
1M
3M
6M
YTD
2025
2024
2023
1Y
3Y
5Y
Volatility
Sharpe R.
Max DD
FundISIN LU1555549754, currency EUR, clean share class
0.57
0.92
1.99
5.83
8.28
7.59
3.97
9.27
8.49
1.88
6.10
0.91
-3.87
BenchmarkEUR 3-month deposit + 6%
0.70
2.07
4.13
5.48
8.52
10.15
9.64
8.31
9.23
8.37
–
–
–
Differencefund minus benchmark, in percentage points
-0.12
-1.16
-2.14
0.35
-0.25
-2.56
-5.67
0.96
-0.74
-6.49
–
–
–
Within the list: OpenList — Alternatives
Compared with the alternative funds on OpenList — Alternatives (25 funds), each in the share class and currency its list shows. Returns are in each share class's own currency and are not converted.
This fund
Group median
Position
Return 1Y
9.27
9.40
15 of 25
Return 3Y p.a.
8.49
11.35
19 of 25
3Y p.a. over its own benchmark
-0.74
2.46
24 of 25
Volatility 3Y
6.10
5.42
17 of 25
Sharpe ratio 3Y
0.91
1.34
24 of 25
Max drawdown 3Y
-3.87
-3.40
15 of 25
Management fee
Not available in this publication
1.01%
No value for this fund (2 without a value)
Position 1 is the highest value, except for volatility and the management fee, where 1 is the lowest; for max drawdown, 1 is the smallest fall.
Return against risk, 3 years
WSP commentary
WSP commentary on this fund is in preparation.
WSP report
Ask WSP which research is available for this fund and what it covers.
Performance: in %, in the currency of the share class shown. 3Y and 5Y are annualised. Volatility and Sharpe ratio are over three years; Max DD is the largest fall over three years. Benchmark: each fund is measured against the index its own documents name. Where WSP measures a fund against a comparator of its own instead, the row names it: a tracker or a blend of the markets the fund invests in, or a cash-plus hurdle – means not applicable. "Not available in this publication" means no value is shown here; it does not mean zero. Period figures as of 31.08.2026.
This page is advertising within the meaning of the Swiss Financial Services Act. It is not an offer, a recommendation or investment advice. The prospectus and key information document for any fund shown may be obtained free of charge from its management company or Swiss representative
WSP commentary
WSP commentary on this fund is in preparation.