Selected, reviewed and approved by WS Partners. 30 funds from 17 asset managers are on the Long Only list.

New this edition: every fund has its own page, with its figures against its own benchmark and its place on the list. Tap a fund name to open it.

Top three by 1-year return

CH-registered funds on this list with the highest 1-year return to 31 August 2026, in each share class's currency:
LU2536488997 · EUR share class · Large Cap Growth
1-year return +45.57% in EUR · 3-year Sharpe ratio 1.00 · Management fee 0.47% a year
LU0384410279 · USD share class · Large Cap Blend
1-year return +43.46% in USD · 3-year Sharpe ratio 0.95 · Management fee 0.83% a year
LU0415416287 · CHF share class · Commodities
1-year return +31.79% in CHF · 3-year Sharpe ratio 0.81 · Management fee 0.75% a year
What it does (draft, machine-generated): Actively managed worldwide commodities exposure via derivatives on commodity indices and exchange-traded commodities, with a bond and cash collateral portfolio and benchmark-guided manager discretion.

The full list

#Fund1Y3Y p.a.Sharpe 3Y
1Ninety One GSF Emerging Markets Leaders
Ninety One Luxembourg S.A. · LU2536488997 · EUR share class · management fee 0.47% a year
+45.6%+21.8%1.00
2Vontobel mtx Asian Leaders Ex Japan
Vontobel Asset Management S.A. · LU0384410279 · USD share class · management fee 0.83% a year
+43.5%+23.9%0.95
3Vontobel Commodity
Vontobel Asset Management S.A. · LU0415416287 · CHF share class · management fee 0.75% a year
+31.8%+11.2%0.81
4M&G (Lux) European Strategic Value Fd
M&G Luxembourg S.A. · LU1670707873 · EUR share class · management fee 0.75% a year
+26.4%+22.5%1.79
5Robeco BP Global Premium Equities
Robeco Institutional Asset Mgmt BV · LU1058973592 · USD share class · management fee 0.63% a year
+23.4%+21.4%1.32
6Goldman Sachs Global CORE® Equity Ptf
Goldman Sachs Asset Management Fund Services Ltd · LU0830625926 · USD share class · management fee 0.50% a year
+22.0%+21.6%1.21
7Ninety One Global Environment Fund
Ninety One Luxembourg S.A. · LU1939255458 · USD share class · management fee 0.75% a year
+18.4%+10.9%0.45
8Prosper Stars & Stripes Fund
CA Indosuez Fund Solutions · LU0723589023 · USD share class · management fee 1.40% a year
+16.1%+11.6%0.49
9H2O Multibonds FCP
H2O AM Europe · FR0010930438 · EUR share class · management fee 0.70% a year
+12.8%+11.0%0.55
10Barings Emerging Markets Local Debt Fund
Baring Intl Fund Mngrs (Ireland) Ltd · IE00BKZGL873 · USD share class · management fee 0.65% a year
+10.6%+9.0%0.47
11Thematics Safety Fund
Natixis Investment Managers S.A. · LU1923621996 · USD share class · management fee 0.95% a year
+10.5%+13.7%0.56
12PineBridge Global Focus Equity
PineBridge Investments Ireland Ltd · IE0004896431 · USD share class · management fee 1.00% a year
+9.6%+16.4%0.85
13Vontobel Emerging Markets Debt
Vontobel Asset Management S.A. · LU0926439729 · USD share class · management fee 0.55% a year
+9.3%+13.9%1.29
14Solitaire Global Bond Fund
VP Fund Solutions (Liechtenstein) AG · LI0364281548 · USD share class · management fee 0.50% a year
+9.1%+13.6%1.53
15Prosper Funds SICAV Plurimi World L S Eq
CA Indosuez Fund Solutions · LU2899631977 · USD share class · management fee 1.00% a year
+8.9%<3y<3y
16Vanguard Emerging Markets Bond Fund
Vanguard Group (Ireland) Limited · IE00BKLWXN81 · USD share class · management fee 0.40% a year
+8.1%+10.4%0.86
17Goldman Sachs Global Future Gen Eq Port
Goldman Sachs Asset Management Fund Services Ltd · LU0858289241 · USD share class · management fee 0.75% a year
+7.5%+16.3%0.71
18Barings Global High Yield Bond Fund
Baring Intl Fund Mngrs (Ireland) Ltd · IE00B7PD0D50 · USD share class · management fee 0.60% a year
+5.6%+9.1%1.10
19BNY Mellon Global Short-Dated High Yield Bond Fund
BNY Mellon Fund Management (Lux) S.A. · IE00BD5CV864 · USD share class · management fee 0.50% a year
+5.6%+8.5%1.51
20Ninety One GSF Global Managed Income
Ninety One Luxembourg S.A. · LU1974397777 · USD share class · management fee 0.65% a year
+5.3%+6.1%0.42
21Robeco Global Consumer Trends
Robeco Luxembourg SA · LU0936248318 · USD share class · management fee 0.80% a year
+5.2%+12.3%0.57
22PIMCO GIS Capital Securities Fund
PIMCO Global Advisors (Ireland) Limited · IE00BLZH2Q20 · USD share class · management fee 0.79% a year
+5.2%+10.2%1.21
23TCW Multi-Sector Fixed Income Fund
TCW Investment Management Co LLC · LU1109965431 · USD share class · management fee 0.70% a year
+4.0%+6.3%0.46
24DNCA Invest Alpha Bonds
DNCA Finance · LU1694789378 · EUR share class · management fee 0.60% a year
+3.2%+4.5%0.87
25TCW Funds Tcw Income Fund
TCW Investment Management Co LLC · LU1848747330 · USD share class · management fee 1.50% a year
+2.8%+6.2%0.33
26BNY Mellon Global Credit Fund
BNY Mellon Fund Management (Lux) S.A. · IE00BYZW5L40 · USD share class · management fee 0.40% a year
+2.4%+5.7%0.23
27Vontobel TwentyFour Strategic Income Fd
Vontobel Asset Management S.A. · LU1325135033 · EUR share class · management fee 0.60% a year
+2.3%+6.3%0.80
28Robeco Corporate Hybrid bonds
Robeco Luxembourg SA · LU1700711663 · EUR share class · management fee 0.40% a year
+2.3%+6.6%1.24
29M&G (Lux) Episode Macro Fund
M&G Luxembourg S.A. · LU1670714069 · USD share class · management fee 0.75% a year
+2.2%+4.9%0.07
30Robeco Global SDG Credits
Robeco Luxembourg SA · LU1811861357 · EUR share class · management fee 0.80% a year
-0.5%+3.0%0.05

One share class per fund: its CH-registered class with the highest 1-year return, or, where it has none, its class with the highest 1-year return. Ordered by that return. Returns are in the share class's currency; 3Y p.a. is annualised. In a figure column, <1y or <3y marks a share class younger than the period, and a dash a figure the source does not provide. Top three by 1-year return among CH-registered classes, the same rule on every list (from October 2026; earlier editions ranked by 3-year return).

See all 30 Long Only funds on the website

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Important information. For professional clients within the meaning of FinSA who are qualified investors under CISA Art. 10. Marketing material, for information only. This material does not constitute personalised investment advice or a personal 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. Lists as of 29 September 2026. Data as of 31 August 2026 unless otherwise indicated. Sources: Morningstar Direct; WS Partners (fund NAV data); WS Partners, from FT Markets price history. Before investing, read the fund's prospectus and, where applicable, Key Information Document. Issued by Wealth Solutions Partners SA, Switzerland.

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