| Name | Net Asset Value | Redemption Value | Chg. % 1D Chg. Abs. | Date Time | ISIN | Issuer Price | Year High1 | Year Low1 |
|---|---|---|---|---|---|---|---|---|
| Oberbank Premium Strategie dynamisch (R) | 1,782.42 | 1,782.42 | -0.52% -9.26 | 09/02/2026 16:00:07 | AT0000A1YYP6 | 1,835.89 | 1,809.24 | 1,523.43 |
| Oberbank Vermögensmanagement (A) | 131.40 | 131.40 | -0.38% -0.50 | 09/02/2026 16:00:07 | AT0000A1ENY3 | 135.34 | 132.75 | 122.60 |
| Oberbank Vermögensmanagement (T) | 170.30 | 170.30 | -0.38% -0.65 | 09/02/2026 16:00:07 | AT0000A06NX7 | 175.41 | 172.05 | 158.13 |
| Oberbank Vermögensmanagement ESG | 127.60 | 127.60 | -0.63% -0.81 | 09/02/2026 16:00:07 | AT0000A320V0 | 131.43 | 128.89 | 118.97 |
| Oberbank Vermögensmanagement ESG | 128.82 | 128.82 | -0.63% -0.82 | 09/02/2026 16:00:07 | AT0000A32109 | 132.68 | 130.11 | 119.75 |
| OBK 32 (R) | 1,547.67 | 1,547.67 | -0.45% -7.01 | 09/02/2026 16:00:07 | AT0000A2L5T8 | 1,625.05 | 1,609.11 | 1,290.91 |
| Optima Rentenfonds (A) | 107.57 | 107.57 | -0.17% -0.18 | 09/02/2026 16:00:07 | AT0000A066K2 | 110.25 | 109.52 | 106.27 |
| Optima Rentenfonds (T) | 143.66 | 143.66 | -0.17% -0.24 | 09/02/2026 16:00:07 | AT0000A066L0 | 147.25 | 146.26 | 141.92 |
| Optimus (VT) | 118.52 | 118.52 | -0.11% -0.13 | 09/02/2026 16:00:07 | AT0000A326P9 | 124.45 | - | - |
| Optimus Segment A | - | - | - - | - | AT0000A326Q7 | - | - | - |
| Optimus Segment B | - | - | - - | - | AT0000A326R5 | - | - | - |
| PB EXCLUSIVE SELECTION EUR P03 | 109.79 | 109.79 | -0.39% -0.43 | 09/02/2026 16:00:07 | AT0000A3FTQ9 | 112.54 | 111.10 | 100.83 |
| PB EXCLUSIVE SELECTION EUR P03 | 109.71 | 109.71 | -0.40% -0.44 | 09/02/2026 16:00:07 | AT0000A3FTR7 | 112.46 | 111.05 | 100.77 |
| PB EXCLUSIVE SELECTION EUR P03 AZ | 107.54 | 107.54 | -0.40% -0.43 | 09/02/2026 16:00:07 | AT0000A3FTP1 | 110.23 | 108.82 | 100.32 |
| PB EXCLUSIVE SELECTION EUR R01 | 107.62 | 107.62 | -0.39% -0.42 | 09/02/2026 16:00:07 | AT0000A3FTS5 | 110.32 | 108.94 | 100.48 |
| PB EXCLUSIVE SELECTION EUR R01 | 108.78 | 108.78 | -0.39% -0.43 | 09/02/2026 16:00:07 | AT0000A3FTT3 | 111.50 | 110.12 | 100.48 |
| PB EXCLUSIVE SELECTION EUR R01 | 109.16 | 109.16 | -0.39% -0.43 | 09/02/2026 16:00:07 | AT0000A3FTU1 | 111.89 | 110.50 | 100.49 |
| PB EXCLUSIVE SELECTION PLUS EUR P03 | 114.70 | 114.70 | -0.61% -0.70 | 09/02/2026 16:00:07 | AT0000A3FTZ0 | 117.57 | 116.20 | 100.23 |
| PB EXCLUSIVE SELECTION PLUS EUR P03 | 114.68 | 114.68 | -0.61% -0.70 | 09/02/2026 16:00:07 | AT0000A3FU01 | 117.55 | 116.23 | 100.16 |
| PB EXCLUSIVE SELECTION PLUS EUR P03 AZ | 111.21 | 111.21 | -0.61% -0.68 | 09/02/2026 16:00:07 | AT0000A3FU50 | 114.00 | 112.66 | 99.47 |
| PB EXCLUSIVE SELECTION PLUS EUR R01 | 111.53 | 111.53 | -0.61% -0.68 | 09/02/2026 16:00:07 | AT0000A3FU19 | 114.32 | 113.04 | 99.77 |
| PB EXCLUSIVE SELECTION PLUS EUR R01 | 113.32 | 113.32 | -0.61% -0.70 | 09/02/2026 16:00:07 | AT0000A3FU27 | 116.16 | 114.86 | 99.78 |
| PB EXCLUSIVE SELECTION PLUS EUR R01 | 113.87 | 113.87 | -0.61% -0.70 | 09/02/2026 16:00:07 | AT0000A3FU35 | 116.72 | 115.42 | 99.79 |
| PB Wels Portfolio Management SOLIDE (T) | 181.43 | 181.43 | -0.19% -0.35 | 09/02/2026 16:00:07 | AT0000PBRBW5 | 181.43 | 183.41 | 168.64 |
| PCI - Concept Giesswein | 103.68 | 103.68 | -0.32% -0.33 | 09/02/2026 16:00:07 | AT0000A2RYS2 | 108.87 | 104.71 | 93.36 |
| PCI - Diversified Bond Strategy | 96.91 | 96.91 | -0.06% -0.06 | 09/02/2026 16:00:07 | AT0000A05758 | 101.76 | 97.53 | 95.66 |
| PCI - Diversified Bond Strategy | 111.93 | 111.93 | -0.06% -0.07 | 09/02/2026 16:00:07 | AT0000A05766 | 117.53 | 112.52 | 110.37 |
| PCI - Diversified Equity Income Fund | 9.83 | 9.83 | -0.91% -0.09 | 09/02/2026 16:00:07 | AT0000ARCUS3 | 10.33 | 10.16 | 9.55 |
| PCI - Konservativ (T 1) | 87.89 | 87.89 | -0.06% -0.05 | 09/02/2026 16:00:07 | AT0000A287K4 | 87.89 | 88.13 | 84.24 |
| PCI - Konservativ (T 2) | 99.47 | 99.47 | -0.05% -0.05 | 09/02/2026 16:00:07 | AT0000A2MMG3 | 104.45 | 99.74 | 95.54 |
| PCI Diversified - IQ Best Ideas Strategy | 142.46 | 142.46 | -1.11% -1.60 | 09/02/2026 16:00:07 | AT0000A2SAX0 | 149.59 | 153.47 | 117.14 |
| Perfekt2018 | 118.40 | 118.40 | -0.23% -0.27 | 09/02/2026 16:00:07 | AT0000A3H894 | 124.32 | 119.56 | 101.24 |
| PI Flexibel Plus | 175.36 | 175.36 | -0.81% -1.43 | 09/02/2026 16:00:07 | AT0000A15VZ6 | 184.13 | 177.51 | 144.82 |
| PIZ BUIN GLOBAL | 264.34 | 264.34 | -0.51% -1.36 | 09/02/2026 16:00:07 | AT0000703491 | 274.92 | 267.38 | 219.24 |
| PIZ BUIN GLOBAL | 264.73 | 264.73 | -0.51% -1.35 | 09/02/2026 16:00:07 | AT0000703509 | 275.32 | 267.78 | 219.56 |
| Portfolio Anleihen | 98.92 | 98.92 | -0.32% -0.32 | 09/02/2026 16:00:07 | AT0000A0CWU8 | 103.87 | 102.50 | 98.36 |
| Portfolio Anleihen | 118.00 | 118.00 | -0.32% -0.38 | 09/02/2026 16:00:07 | AT0000A0CWV6 | 123.90 | 121.14 | 117.32 |
| Portfolio Anleihen | 125.71 | 125.71 | -0.33% -0.41 | 09/02/2026 16:00:07 | AT0000A0CWW4 | 132.00 | 129.06 | 124.99 |
| Portfolio Economist (T) | 122.17 | 122.17 | -0.13% -0.16 | 09/02/2026 16:00:07 | AT0000A36HN7 | 128.28 | 122.61 | 111.95 |
| Portfolio Fair Dynamic (T) | 115.79 | 115.79 | -0.15% -0.17 | 09/02/2026 16:00:07 | AT0000A3E859 | 121.58 | 116.15 | 100.74 |
| Portfolio Management AUSGEWOGEN (A) | 144.25 | 144.25 | -0.23% -0.33 | 09/02/2026 16:00:07 | AT0000707542 | 144.25 | 147.51 | 130.31 |
| Portfolio Management AUSGEWOGEN (T) | 195.55 | 195.55 | -0.23% -0.45 | 09/02/2026 16:00:07 | AT0000707559 | 195.55 | 197.95 | 173.97 |
| Portfolio Management DYNAMISCH (A) | 155.38 | 155.38 | -0.28% -0.44 | 09/02/2026 16:00:07 | AT0000707526 | 155.38 | 158.87 | 134.56 |
| Portfolio Management DYNAMISCH (T) | 209.52 | 209.52 | -0.29% -0.60 | 09/02/2026 16:00:07 | AT0000707534 | 209.52 | 212.57 | 178.10 |
| Portfolio Management Ethik Mix Ausgewogen (T) | 137.49 | 137.49 | -0.39% -0.54 | 09/02/2026 16:00:07 | AT0000A26ZA7 | 137.49 | 140.82 | 121.24 |
| Portfolio Management Ethik Mix Dynamisch (T) | 140.95 | 140.95 | -0.56% -0.79 | 09/02/2026 16:00:07 | AT0000A2RJ60 | 140.95 | 144.22 | 115.44 |
| Portfolio Management Ethik Mix Solide (T) | 127.92 | 127.92 | -0.23% -0.29 | 09/02/2026 16:00:07 | AT0000A2CN95 | 127.92 | 129.81 | 121.40 |
| Portfolio Management KONSERVATIV (A) | 111.31 | 111.31 | -0.18% -0.20 | 09/02/2026 16:00:07 | AT0000A01V88 | 111.31 | 112.92 | 108.19 |
| Portfolio Management KONSERVATIV (T) | 140.96 | 140.96 | -0.18% -0.25 | 09/02/2026 16:00:07 | AT0000A01V96 | 140.96 | 142.99 | 136.67 |
| Portfolio Management SOLIDE (A) | 131.06 | 131.06 | -0.19% -0.25 | 09/02/2026 16:00:07 | AT0000707567 | 131.06 | 133.89 | 123.22 |
