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8904423a be5a 4239 8f41 ff01592fa9ea
13
9 Mrd. EUR
Zürich
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Stand
2019-05-22
FISCH Convertible Global Dynamic Fund BC (CHF)
WKN: A2JM9Y
Performance 6M
7.33%
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Stand
2019-05-22
FISCH Convertible Global Dynamic Fund BE (EUR)
WKN: A2JM90
Performance 6M
6.54%
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Stand
2019-05-22
FISCH Bond Global High Yield Fund BE
WKN: A1183P
Performance 1Y
2.27%
Volatility 1Y
5.30%
MORE INFO
Stand
2019-05-22
FISCH Bond Global Corporates Fund BE
WKN: A116QF
Performance 1Y
4.32%
Volatility 1Y
3.59%
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Stand
2019-05-22
FISCH Bond Global High Yield Fund AE2
WKN: A113S0
Performance 1Y
1.62%
Volatility 1Y
5.37%
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Stand
2019-05-22
FISCH Convertible Global Defensive Fund BE2
WKN: A1T7S3
Performance 1Y
-3.21%
Volatility 1Y
4.16%
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Stand
2019-05-22
FISCH Convertible Global Opportunistic Fund BE2
WKN: A1H862
Performance 1Y
-1.67%
Volatility 1Y
6.55%
MORE INFO
Stand
2019-05-22
FISCH Bond EM Corporates Defensive Fund BD
WKN: A1C1UM
Performance 1Y
13.51%
Volatility 1Y
4.18%
MORE INFO
Stand
2019-05-22
FISCH Convertible Global Opportunistic Fund BE
WKN: A1H861
Performance 1Y
-1.67%
Volatility 1Y
6.54%
MORE INFO
Stand
2019-05-22
FISCH Bond EM Corporates Defensive Fund BE
WKN: A1CYZK
Performance 1Y
4.62%
Volatility 1Y
2.91%
MORE INFO
Stand
2019-05-22
FISCH Convertible Global Sustainable Fund AD (USD)
WKN: A0YFF9
Performance 1Y
8.48%
Volatility 1Y
7.81%
MORE INFO
Stand
2019-05-22
FISCH Convertible Global Defensive Fund AD
WKN: A0RK4T
Performance 1Y
4.15%
Volatility 1Y
4.98%
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Stand
2019-05-22
FISCH Convertible Global Defensive Fund BE
WKN: 216724
Performance 1Y
-3.21%
Volatility 1Y
4.16%

Current Contributions

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MORE INFO
Stand
2019-05-22
FISCH Convertible Global Dynamic Fund BC (CHF)
WKN: A2JM9Y
Performance 6M
7.33%
MORE INFO
Stand
2019-05-22
FISCH Convertible Global Dynamic Fund BE (EUR)
WKN: A2JM90
Performance 6M
6.54%
MORE INFO
Stand
2019-05-22
FISCH Bond Global High Yield Fund BE
WKN: A1183P
Performance 1Y
2.27%
Volatility 1Y
5.30%
MORE INFO
Stand
2019-05-22
FISCH Bond Global Corporates Fund BE
WKN: A116QF
Performance 1Y
4.32%
Volatility 1Y
3.59%
MORE INFO
Stand
2019-05-22
FISCH Bond Global High Yield Fund AE2
WKN: A113S0
Performance 1Y
1.62%
Volatility 1Y
5.37%
MORE INFO
Stand
2019-05-22
FISCH Convertible Global Defensive Fund BE2
WKN: A1T7S3
Performance 1Y
-3.21%
Volatility 1Y
4.16%
MORE INFO
Stand
2019-05-22
FISCH Convertible Global Opportunistic Fund BE2
WKN: A1H862
Performance 1Y
-1.67%
Volatility 1Y
6.55%
MORE INFO
Stand
2019-05-22
FISCH Bond EM Corporates Defensive Fund BD
WKN: A1C1UM
Performance 1Y
13.51%
Volatility 1Y
4.18%
MORE INFO
Stand
2019-05-22
FISCH Convertible Global Opportunistic Fund BE
WKN: A1H861
Performance 1Y
-1.67%
Volatility 1Y
6.54%
MORE INFO
Stand
2019-05-22
FISCH Bond EM Corporates Defensive Fund BE
WKN: A1CYZK
Performance 1Y
4.62%
Volatility 1Y
2.91%
MORE INFO
Stand
2019-05-22
FISCH Convertible Global Sustainable Fund AD (USD)
WKN: A0YFF9
Performance 1Y
8.48%
Volatility 1Y
7.81%
MORE INFO
Stand
2019-05-22
FISCH Convertible Global Defensive Fund AD
WKN: A0RK4T
Performance 1Y
4.15%
Volatility 1Y
4.98%
MORE INFO
Stand
2019-05-22
FISCH Convertible Global Defensive Fund BE
WKN: 216724
Performance 1Y
-3.21%
Volatility 1Y
4.16%

Fisch Asset Management2 MIN READING TIME2019-05-20

Turbulence in the US healthcare sector offers opportunities

Market/sector comment by Fisch Asset Management - 14 May 2019

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Fisch Asset Management1 MIN READING TIME2019-04-11

Bei High-Yield-Anleihen stehen „Rising Stars“ im Fokus

Kommentar von Peter Jeggli, Senior Portfolio Manager bei Fisch Asset Management in Zürich

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Fisch Asset Management1 MIN READING TIME2019-03-11

China setzt positive Impulse für globale Finanzmärkte

Kommentar von Beat Thoma, CIO bei Fisch Asset Management in Zürich

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Fisch Asset Management2 MIN READING TIME2019-02-14

Support for corporates comes from the US

The start of 2019 was tailor-made for the asset class of corporate bonds. Given the substantial revaluation of corporates last year, the hoped for comeback.

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Fisch Asset Management2 MIN READING TIME2019-02-14

Markets provide many positive signals

After December’s losses, January saw a strong recovery in both equity and credit markets. However, there was little change in the main factors influencing the global economy and stock markets.

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Fisch Asset ManagementLESS THAN 1 MIN READING TIME2019-02-13

Business lunch with FISCH Asset Management in Hamburg

Be there at the exclusive event on 20 February in Hamburg!

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Fisch Asset Management2 MIN READING TIME2019-02-06

Für Anleger ist es noch zu früh für Bremsmanöver

Marktkommentar von Beat Thoma, CIO bei Fisch Asset Management

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Fisch Asset ManagementLESS THAN 1 MIN READING TIME2019-01-16

Das ganze Wandelanleihen-Spektrum im Blick

Fisch Asset Managerment verfügt über eine der größten Wandelanleihen-Teams der Welt. Das zahlt sich aus. Im Video erläutern die Experten des Schweizer Asset Managers, wie sie die spannendsten Titel herausfiltern.

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Fisch Asset ManagementLESS THAN 1 MIN READING TIME2019-01-11

„Wir wollen zu den Besten der Welt gehören“

Sehr fokussiert und auf nur wenige Anlagestrategien spezialisiert – das ist Fisch Asset Management. Dr. Pius Fisch, Präsident des Verwaltungsrates und neben seinem Bruder Kurt einer der beiden Gründer, erläutert im Video die besondere Anlagephilosophie des Asset Managers.

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Fisch Asset ManagementLESS THAN 1 MIN READING TIME2019-01-09

Outperformen auch in schwierigen Marktphasen

Wandelanleihen sind aktuell sowohl für Aktien- als auch für Anleiheninvestoren eine interessante Alternative. Die besonderen Vorteile der Assetklasse beschreibt Stephanie Zwick, Leiterin des Convertible Bond Teams bei Fisch Asset Management, im Video.

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Patrick Peters3 MIN READING TIME2018-11-29

Convertible bond: Interesting companions in volatile market phases

Protection against typical exchange rate fluctuations with simultaneous opportunity to benefit from the upside potential of the stock markets: this is ensured by convertible bonds. They are best placed in the fund coat and can also cover special areas, such as sustainability.

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Heino Reents2 MIN READING TIME2018-11-20

Convertible bonds: The egg-laying Wollmilchsau?

On the upswing, however, in the downturn only conditionally: convertible bonds are actually suitable for every market phase. Currently, an entry seems particularly interesting.

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Fisch Asset Management1 MIN READING TIME2018-10-29

Aktienähnliche Performance, weniger Risiko: Wandelanleihen – Stephanie Zwick, FISCH Asset Management

Stephanie Zwick von Fisch Asset Management berichtete beim HVT Hamburg von den Vorzügen eines Investments in Wandelanleihen.

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Fisch Asset Management2 MIN READING TIME2018-10-11

Market review: Credit markets with space in the sun

A weaker dollar and moderate inflationary pressure are having a positive effect on international markets. Both the problem children Argentina, Turkey and Russia as well as the Chinese stock markets can report an upward trend.

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Fisch Asset Management1 MIN READING TIME2018-09-28

Bond investors must now keep an eye on the US yield curve

Commentary by Beat Thoma, CIO at Fisch Asset Management in Zurich

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Fisch Asset Management2 MIN READING TIME2018-09-13

Market commentary: Positive rays of hope

The global situation is once again showing some positive signs of improvement. This is mainly due to monetary and fiscal easing measures in China, the stabilization of the Chinese currency and a possible settlement in the NAFTA trade dispute between the USA and Mexico.

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Fisch Asset Management2 MIN READING TIME2018-09-11

Convertible bonds – An alternative for equity and bond investors alike

Stephanie Zwick, Head of Convertible Bonds at Fisch Asset Management in Zurich, expects to see inflows into the convertible bond asset class during the remainder of the year. “In the current market phase, convertibles make for an attractive alternative to both equities and bonds. Equity market levels are high and the economic outlook is starting to look bleaker, so equity investors are increasingly on the lookout for downside protection, while bond investors need investment opportunities capable of generating higher returns due to concerns about interest rates.”

 

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FONDS professionell2018-09-10

Fisch-AM-Expertin: Wandelanleihen sind chancenreiche Alternative

Wie bei Aktien sind es auch im Wandelanleihenmarkt die USA, die als Lokomotive bezeichnet werden kann. Dies betrifft die bisherige Jahresperformance, bei der US-Werte den Ton angeben, aber vor allem den Bereich der Neuemissionen, meint Stephanie Zwick, Head Convertible Bonds bei Fisch AM.

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Fisch Asset Management1 MIN READING TIME2018-09-06

Exciting race between economic and central bank developments

Comment by Beat Thoma, CIO at Fisch Asset Management in Zurich

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Wirtschafts Woche2018-08-21

Neuer Boom bei Wandelanleihen

Steigende Zinsen und höhere Schwankungen an den Börsen machen Wandelanleihen wieder attraktiver. Wie die speziellen Anleihen funktionieren und was Anleger dabei beachten müssen.

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Fisch Asset Management1 MIN READING TIME2018-08-17

Market Commentary: Financial markets on a summer high

US and European stock markets recorded strong developments, only the stock markets in China and Hong Kong fell slightly.

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Fisch Asset Management1 MIN READING TIME2018-08-10

Participate in central bank policy with Japanese convertible bonds

Leonardo Spangaro, Portfolio Manager at Fisch Asset Management in Zurich, has written a recent commentary on the opportunities of Japanese convertible bonds.

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Fisch Asset Management2 MIN READING TIME2018-08-06

Fish AM CEO: my biggest challenges and experiences

Fish Asset Management's CEO Philipp Good takes us through a day in his life, with the best and worst parts of his work, the challenges he faces, and the predictions for the future of the wealth management industry.

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Fisch Asset Management2 MIN READING TIME2018-08-03

Plans for further expansion and targeted internationalisation – Investment strategies outperform the market again

Over the coming years, Fisch Asset Management seeks to continue expanding its business activities and to tap into new markets internationally. The next stage of growth will involve major investments in research and portfolio management capabilities, as well as in new technologies. This planned expansion builds upon the company’s long-term positive business performance, which has continued throughout the first half of 2018. The majority of Fisch’s investment strategies beat their benchmarks, generating added value for investors with a long-term perspective. Client assets under management increased slightly to around CHF 10.8 billion (EUR 9.3 billion), in what was a challenging environment for all asset classes.

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Fisch Asset Management1 MIN READING TIME2018-07-23

Beijing still has the upper hand

A recent market commentary by Fisch AM

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Fisch Asset Management2 MIN READING TIME2018-07-14

New Fisch convertible bond fund takes advantage of maximum flexibility

Fisch Asset Management is expanding its range of convertible bond funds. The newly launched FISCH CB Global Dynamic Fund features a very broad range of instruments, allowing it to exploit the potential of the entire convertible bond universe. Investors enjoy higher potential return with the security typical of convertible bonds.

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Contact Person

Core Expertise

  • Wandelanleihen
  • Unternehmensanleihen
  • Absolute Return

Short Portrait

Wir sind ein unabhängiger Asset Manager mit Sitz in Zürich. Die Brüder Kurt und Dr. Pius Fisch gründeten das Unternehmen im Jahr 1994.