The 33 funds below returned between +1.5% and +53.9% over the past twelve months. Every one is here on merit — performance, risk and operational due diligence, nothing else — with its factsheet and full WSP analyst report one click away. The complete list is below. In credit, we note select sovereign and emerging market debt strategies that are proving institutional-grade risk control can be accessed for as low as a 0.60% ongoing charge. Figures as of 30-06-2026; a dash marks a track record under three years. Fixed Income (17 funds)Curated yield, credit, and high-yield strategies, spotlighting cost-efficiency and sovereign risk management. Alternative (3 funds)Discretionary diversifiers, long/short equity, and absolute-return strategies.
Equity (12 funds)Vetted active core and thematic equities targeting long-term growth and capital appreciation. Mixed Allocation (1 fund)Vetted multi-asset, balanced, and conservative allocation models.
The same selection discipline runs across our other lists:
If someone on your team builds fund lists, please forward this email to them. The WS Partners Team For qualified and professional investors only (CISA Art. 10 / FinSA). Marketing material, for information only — not investment advice, a recommendation, or an offer or solicitation to buy or sell any fund or security. Past performance is not a reliable indicator of future results and the value of investments can fall as well as rise. Figures as of 30-06-2026, sourced from fund data. Before investing, read the fund's prospectus and Key Information Document. Issued by Wealth Solutions Partners SA, Switzerland. OpenList — Market Intelligence for the Professional Allocator |