| BELLEVUE FUNDS (LUX) - BELLEVUE MEDTECH & SERVICES HB EUR | RVI SALUD | 405,080000 | 07/10/2026 | -16,65% | -1,92% | * |
| FSSA CHINA A SHARES VI USD CAP | RVI CHINA | 11,373681 | 08/10/2026 | -16,77% | -6,07% | * |
| UBS FACTOR MSCI USA PRIME VALUE SCREENED UCITS ETF HGBP DIS | RVI USA VALOR | 17,469068 | 08/10/2026 | -16,78% | 32,73% | ***** |
| PARTNERS GROUP LISTED INVESTMENTS SICAV - LISTED PRIVATE EQUITY GBP I DIS | RVI GLOBAL | 569,671067 | 08/10/2026 | -16,82% | 15,83% | ** |
| UBS GLOBAL GENDER EQUALITY UCITS ETF HCHF DIS | RVI GLOBAL | 15,413553 | 08/10/2026 | -16,83% | 23,14% | ** |
| FSSA CHINA A SHARES I USD CAP | RVI CHINA | 10,209369 | 08/10/2026 | -17,25% | -8,33% | * |
| AMUNDI EURO STOXX 50 DAILY (-2X) INVERSE UCITS ETF ACC | RV EURO | 0,429100 | 07/10/2026 | -17,32% | -60,24% | * |
| STEWART INVESTORS GLOBAL EMERGING MARKETS ALL CAP VI USD CAP | RVI EMERGENTES | 11,858305 | 08/10/2026 | -17,39% | -5,81% | * |
| XTRACKERS NIFTY 50 SWAP UCITS ETF 1C | RVI INDIA | 195,375402 | 08/10/2026 | -17,40% | -9,47% | * |
| UBS GLOBAL GENDER EQUALITY UCITS ETF HGBP ACC | RVI GLOBAL | 24,437064 | 08/10/2026 | -17,71% | 48,36% | ***** |
| FIDELITY FUNDS-CHINA CONSUMER A-ACC-EUR (HEDGED) | RVI CONSUMO | 7,728000 | 08/10/2026 | -17,77% | -8,84% | ** |
| BELLEVUE FUNDS (LUX) - BELLEVUE MEDTECH & SERVICES HB CHF | RVI SALUD | 330,443657 | 07/10/2026 | -17,80% | -5,15% | * |
| FSSA CHINA A SHARES VI USD SDIS | RVI CHINA | 10,459771 | 08/10/2026 | -17,81% | -10,40% | * |
| ISHARES MSCI EUROPE CONSUMER DISCRETIONARY SECTOR UCITS ETF EUR (ACC) | RVI CONSUMO | 5,456700 | 08/10/2026 | -18,05% | -8,40% | ** |
| UBS CMCI COMMODITY CARRY SF UCITS ETF HEUR ACC | RVI MATERIAS PRIMAS | 105,876200 | 07/10/2026 | -18,06% | · | ND |
| UBS SOLACTIVE CHINA TECHNOLOGY UCITS ETF USD ACC | RVI TECNOLOGÍA | 5,832559 | 08/10/2026 | -18,08% | 11,15% | * |
| FRANKLIN INDIA W (ACC) EUR-H1 | RVI INDIA | 11,180000 | 08/10/2026 | -18,10% | -2,78% | *** |
| SPDR MSCI EUROPE CONSUMER DISCRETIONARY UCITS ETF | RVI CONSUMO | 143,932000 | 08/10/2026 | -18,19% | -8,46% | ** |
| LOOMIS SAYLES SAKORUM LONG SHORT GROWTH EQUITY H-N1/A (EUR) | RENT. ABSOLUTA. | 91,100000 | 07/10/2026 | -18,49% | · | ND |
| FRANKLIN INDIA A (ACC) EUR-H1 | RVI INDIA | 13,620000 | 08/10/2026 | -18,59% | -5,09% | ** |