Products & Prices

Please refer to the applicable conditions for investments in IST, IST2 and IST3:

Balanced

Investment group Monthly report ESG Factsheet Key figures Performance YTD in % Net asset value in CHF Issue price in CHF Redemption price in CHF Net present value in CHF Accrued interest in CHF Value date Securities number TER KGAST in % p.a. 30.09.2025 Investment guidelines Historical prices
IST Mixta Optima 15 II DE|FR EN DE|FR 3.43 1'676.47 1'679.82 1'673.12 1'674.42 2.05 04.12.2025 2903129 0.49 DE|FR Prices
IST Mixta Optima 15 III DE|FR EN DE|FR 3.48 1'679.16 1'682.52 1'675.80 1'676.95 2.21 04.12.2025 2903135 0.44 DE|FR Prices
IST Mixta Optima 25 I DE|FR EN DE|FR 4.42 3'056.14 3'062.25 3'050.03 3'053.94 2.20 04.12.2025 277251 0.57 DE|FR Prices
IST Mixta Optima 25 II DE|FR EN DE|FR 4.47 3'124.75 3'131.00 3'118.50 3'122.17 2.58 04.12.2025 2903137 0.51 DE|FR Prices
IST Mixta Optima 25 III DE|FR EN DE|FR 4.52 3'160.83 3'167.15 3'154.51 3'157.94 2.89 04.12.2025 2903143 0.46 DE|FR Prices
IST Mixta Optima 35 I DE|FR EN DE|FR 5.32 2'022.26 2'026.30 2'018.22 2'021.38 0.88 04.12.2025 1952320 0.57 DE|FR Prices
IST Mixta Optima 35 II DE|FR EN DE|FR 5.38 2'054.03 2'058.14 2'049.92 2'052.92 1.11 04.12.2025 2903147 0.51 DE|FR Prices
IST Mixta Optima 35 III DE|FR EN DE|FR 5.43 2'067.45 2'071.58 2'063.32 2'066.15 1.30 04.12.2025 2903150 0.46 DE|FR Prices
IST Mixta Optima 75 II DE|FR EN DE|FR 9.17 1'333.18 1'335.85 1'330.51 1'333.10 0.08 04.12.2025 50991045 0.45 DE|FR Prices
IST Mixta Optima 75 III DE|FR EN DE|FR 9.22 1'335.43 1'338.10 1'332.76 1'335.24 0.19 04.12.2025 50992141 0.40 DE|FR Prices
IST2 Mixta Optima 30 I DE|FR EN DE|FR 4.77 3'026.59 3'029.62 3'020.54 3'023.97 2.62 04.12.2025 3237560 0.60 DE|FR Prices
IST2 Mixta Optima 30 II DE|FR EN DE|FR 4.83 3'033.00 3'036.03 3'026.93 3'030.05 2.95 04.12.2025 22444384 0.54 DE|FR Prices

Money Market

Investment group Monthly report ESG Factsheet Key figures Performance YTD in % Net asset value in CHF Issue price in CHF Redemption price in CHF Net present value in CHF Accrued interest in CHF Value date Securities number TER KGAST in % p.a. 30.09.2025 Investment guidelines Historical prices
IST Money Market CHF III DE|FR EN DE|FR 0.45 114.18 114.18 114.18 113.08 1.10 03.12.2025 2733870 0.11 DE|FR Prices

Mortgages

Investment group Monthly report ESG Factsheet Key figures Performance YTD in % Net asset value in CHF Issue price in CHF Redemption price in CHF Net present value in CHF Accrued interest in CHF Value date Securities number TER KGAST in % p.a. 30.09.2025 Investment guidelines Historical prices
IST2 Wohnbauhypotheken Schweiz III DE|FR - DE|FR 0.58 782.93 782.93 782.93 764.64 18.29 28.11.2025 113343073 0.26 DE Prices

Swiss Franc Bonds

Investment group Monthly report ESG Factsheet Key figures Performance YTD in % Net asset value in CHF Issue price in CHF Redemption price in CHF Net present value in CHF Accrued interest in CHF Value date Securities number TER KGAST in % p.a. 30.09.2025 Investment guidelines Historical prices
IST Governo Bond Hedged CHF II - EN - -100.00 on request on request on request on request on request 25.09.2024 19376713 on request - Prices
IST Governo Bond Hedged CHF III DE|FR - DE|FR -0.37 1'189.12 1'190.31 1'187.93 1'189.24 -0.12 04.12.2025 10964589 0.24 DE|FR Prices
IST Foreign Bonds CHF I DE|FR EN DE|FR 1.24 1'514.56 1'515.62 1'513.50 1'515.14 -0.58 04.12.2025 287595 0.30 DE|FR Prices
IST Foreign Bonds CHF II DE|FR EN DE|FR 1.30 1'527.72 1'528.79 1'526.65 1'528.14 -0.42 04.12.2025 2902885 0.24 DE|FR Prices
IST Foreign Bonds CHF III DE|FR EN DE|FR 1.34 1'535.80 1'536.88 1'534.72 1'536.11 -0.31 04.12.2025 2902904 0.20 DE|FR Prices
IST Foreign Bonds Hedged CHF I DE|FR EN DE|FR 0.36 1'064.65 1'066.78 1'062.52 1'064.95 -0.30 04.12.2025 10964492 0.35 DE|FR Prices
IST Foreign Bonds Hedged CHF II DE|FR EN DE|FR 0.42 1'080.20 1'082.36 1'078.04 1'080.38 -0.18 04.12.2025 19376482 0.29 DE|FR Prices
IST Foreign Bonds Hedged CHF III DE|FR EN DE|FR 0.46 1'087.61 1'089.79 1'085.43 1'087.72 -0.11 04.12.2025 10964552 0.25 DE|FR Prices
IST Swiss Bonds Index I DE|FR EN DE|FR 0.82 1'529.23 1'536.11 1'529.23 1'513.90 15.33 04.12.2025 287597 0.16 DE|FR Prices
IST Swiss Bonds Index II DE|FR EN DE|FR 0.86 1'550.76 1'557.74 1'550.76 1'535.11 15.65 04.12.2025 2902859 0.12 DE|FR Prices
IST Swiss Bonds Index III DE|FR EN DE|FR 0.90 1'558.97 1'565.99 1'558.97 1'543.12 15.85 04.12.2025 2902867 0.08 DE|FR Prices
IST Global Corporates IG Hedged CHF III DE|FR EN DE|FR 2.61 890.20 892.43 889.31 890.32 -0.12 04.12.2025 55369482 0.29 DE|FR Prices
IST Global Convertibles Hedged CHF I DE|FR EN DE|FR 11.77 177.80 177.98 177.62 177.85 -0.05 04.12.2025 4493575 0.57 DE|FR Prices
IST Global Convertibles Hedged CHF II DE|FR EN DE|FR 11.83 180.22 180.40 180.04 180.25 -0.03 04.12.2025 19506361 0.51 DE|FR Prices
IST Global Convertibles Hedged CHF III DE|FR EN DE|FR 11.87 181.75 181.93 181.57 181.77 -0.02 04.12.2025 4493674 0.47 DE|FR Prices

Foreign Currency Bonds

Investment group Monthly report ESG Factsheet Key figures Performance YTD in % Net asset value in CHF Issue price in CHF Redemption price in CHF Net present value in CHF Accrued interest in CHF Value date Securities number TER KGAST in % p.a. 30.09.2025 Investment guidelines Historical prices
IST Governo Bond I DE|FR - DE|FR -3.48 942.87 943.34 942.40 943.13 -0.26 04.12.2025 277252 0.34 DE|FR Prices
IST Governo Bond II DE|FR - DE|FR -3.42 963.09 963.57 962.61 963.25 -0.16 04.12.2025 2902911 0.28 DE|FR Prices
IST Governo Bond III DE|FR - DE|FR -3.39 973.03 973.52 972.54 973.13 -0.10 04.12.2025 2902918 0.24 DE|FR Prices
IST Bonds Emerging Markets I DE|FR - DE|FR 4.83 99.04 99.29 98.94 99.07 -0.03 03.12.2025 12063397 0.56 DE|FR Prices
IST Bonds Emerging Markets II DE|FR - DE|FR 4.88 99.99 100.24 99.89 100.01 -0.02 03.12.2025 19372050 0.50 DE|FR Prices
IST Bonds Emerging Markets III DE|FR - DE|FR 4.92 100.52 100.77 100.42 100.53 -0.01 03.12.2025 19372410 0.46 DE|FR Prices
IST Foreign Bonds I DE|FR EN DE|FR -1.31 882.86 884.18 881.54 883.10 -0.24 04.12.2025 287599 0.35 DE|FR Prices
IST Foreign Bonds II DE|FR EN DE|FR -1.26 903.61 904.97 902.25 903.76 -0.15 04.12.2025 2903043 0.29 DE|FR Prices
IST Foreign Bonds III DE|FR EN DE|FR -1.22 915.22 916.59 913.85 915.31 -0.09 04.12.2025 2903045 0.25 DE|FR Prices

Swiss Equities

Investment group Monthly report ESG Factsheet Key figures Performance YTD in % Net asset value in CHF Issue price in CHF Redemption price in CHF Net present value in CHF Accrued interest in CHF Value date Securities number TER KGAST in % p.a. 30.09.2025 Investment guidelines Historical prices
IST Equities Switzerland Small Mid Caps I DE|FR EN DE|FR 11.19 23'326.29 23'351.95 23'300.63 23'337.44 -11.15 04.12.2025 287594 0.40 DE|FR Prices
IST Equities Switzerland Small Mid Caps II DE|FR EN DE|FR 11.26 23'934.69 23'961.02 23'908.36 23'943.21 -8.52 04.12.2025 2903072 0.33 DE|FR Prices
IST Equities Switzerland Small Mid Caps III DE|FR EN DE|FR 11.35 24'651.64 24'678.76 24'624.52 24'656.52 -4.88 04.12.2025 2903074 0.24 DE|FR Prices
IST Swiss Equities SMI Index DE|FR EN DE|FR 14.51 5'054.21 5'059.26 5'049.16 5'055.26 -1.05 04.12.2025 287596 0.16 DE|FR Prices
IST Swiss Equities SMI Index II DE|FR EN DE|FR 14.55 5'188.13 5'193.32 5'182.94 5'188.84 -0.71 04.12.2025 2903068 0.12 DE|FR Prices
IST Swiss Equities SMI Index III DE|FR EN DE|FR 14.60 5'252.62 5'257.87 5'247.37 5'252.89 -0.27 04.12.2025 2903071 0.08 DE|FR Prices
IST Swiss Equities SMI Index "G" DE|FR EN DE|FR 14.63 5'256.73 5'261.99 5'251.47 5'256.73 on request 04.12.2025 119497173 0.05 DE|FR Prices
IST Equities Switzerland SPI Plus II DE|FR EN DE|FR 16.47 2'491.43 2'492.92 2'489.94 2'491.84 -0.41 04.12.2025 2903078 0.24 DE|FR Prices
IST Equities Switzerland SPI Plus III DE|FR EN DE|FR 16.52 2'558.79 2'560.33 2'557.25 2'559.04 -0.25 04.12.2025 2903079 0.20 DE|FR Prices
IST2 Equities Switzerland SPI Plus I DE|FR EN DE|FR 16.40 2'465.27 2'466.75 2'463.79 2'465.93 -0.66 04.12.2025 3237591 0.30 DE|FR Prices
IST2 Swiss Equities Dividend Strategy II DE|FR - - 12.06 2'422.65 2'425.07 2'420.23 2'423.06 -0.41 04.12.2025 34706367 0.43 DE|FR Prices
IST2 Swiss Equities Dividend Strategy III DE|FR - - 12.10 2'432.33 2'434.76 2'429.90 2'432.57 -0.24 04.12.2025 22431333 0.39 DE|FR Prices

Foreign Equities

Investment group Monthly report ESG Factsheet Key figures Performance YTD in % Net asset value in CHF Issue price in CHF Redemption price in CHF Net present value in CHF Accrued interest in CHF Value date Securities number TER KGAST in % p.a. 30.09.2025 Investment guidelines Historical prices
IST Equities Emerging Markets Low Vol I DE|FR EN DE|FR 6.80 1'309.26 1'312.53 1'307.95 1'309.57 -0.31 04.12.2025 2353012 0.50 DE|FR Prices
IST Equities Emerging Markets Low Vol II DE|FR EN DE|FR 6.86 1'334.02 1'337.36 1'332.69 1'334.20 -0.18 04.12.2025 2903169 0.44 DE|FR Prices
IST Equities Emerging Markets Low Vol III DE|FR EN DE|FR 6.90 1'340.80 1'344.15 1'339.46 1'340.88 -0.08 04.12.2025 2903174 0.40 DE|FR Prices
IST Equities Global Low Vol I DE|FR EN DE|FR 5.93 2'561.47 2'564.03 2'558.91 2'562.16 -0.69 04.12.2025 14316840 0.65 DE|FR Prices
IST Equities Global Low Vol II DE|FR EN DE|FR 5.99 2'589.50 2'592.09 2'586.91 2'589.93 -0.43 04.12.2025 14316842 0.59 DE|FR Prices
IST Equities Global Low Vol III DE|FR EN DE|FR 6.03 2'605.44 2'608.05 2'602.83 2'605.69 -0.25 04.12.2025 14316843 0.55 DE|FR Prices
IST America Small Mid Caps III DE|FR EN DE|FR -4.34 2'957.57 2'964.96 2'950.18 2'957.85 -0.28 04.12.2025 4493571 0.48 DE|FR Prices
IST America Small Mid Caps "G" DE|FR EN DE|FR -4.33 2'983.37 2'990.83 2'975.91 2'983.60 -0.23 04.12.2025 19655212 0.47 DE|FR Prices
IST Europe Small Mid Caps I - EN - 5.05 5'464.79 5'486.65 5'442.93 5'466.14 -1.35 02.12.2024 277250 0.75 - Prices
IST Europe Small Mid Caps II - EN - -100.00 on request on request on request on request on request 14.10.2024 2903109 0.69 - Prices
IST Europe Small Mid Caps III DE|FR - DE|FR 1.32 5'615.84 5'638.30 5'593.38 5'616.38 -0.54 04.12.2025 2903112 0.56 DE|FR Prices
IST Global Small Mid Caps I DE|FR EN DE|FR -1.16 2'507.97 2'515.49 2'500.45 2'508.51 -0.54 04.12.2025 20068511 0.78 DE|FR Prices
IST Global Small Mid Caps II DE|FR EN DE|FR -1.10 2'521.95 2'529.52 2'514.38 2'522.23 -0.28 04.12.2025 20068518 0.72 DE|FR Prices
IST Global Small Mid Caps III DE|FR EN DE|FR -1.07 2'547.22 2'554.86 2'539.58 2'547.33 -0.11 04.12.2025 20068521 0.68 DE|FR Prices
IST Globe Index I DE|FR EN DE|FR 6.66 5'737.08 5'743.96 5'733.06 5'738.44 -1.36 04.12.2025 96700 0.18 DE|FR Prices
IST Globe Index II DE|FR EN DE|FR 6.70 5'830.74 5'837.74 5'826.66 5'831.70 -0.96 04.12.2025 2903088 0.14 DE|FR Prices
IST Globe Index III DE|FR EN DE|FR 6.77 5'889.07 5'896.14 5'884.95 5'889.28 -0.21 04.12.2025 2903090 0.07 DE|FR Prices
IST Globe Index "G" DE|FR EN DE|FR 6.78 5'939.91 5'947.04 5'935.75 5'939.96 -0.05 04.12.2025 2256493 0.05 DE|FR Prices
IST Globe Index Hedged CHF II DE|FR EN DE|FR 14.16 2'400.81 2'404.41 2'398.41 2'401.28 -0.47 04.12.2025 28243176 0.16 DE|FR Prices
IST Globe Index Hedged CHF "G" DE|FR EN DE|FR 14.26 2'424.93 2'428.57 2'422.51 2'424.97 -0.04 04.12.2025 28243326 0.06 DE|FR Prices

Real Estate Switzerland

Investment group Monthly report ESG Factsheet Key figures Performance YTD in % Net asset value in CHF Issue price in CHF Redemption price in CHF Net present value in CHF Accrued interest in CHF Value date Securities number TER KGAST in % p.a. 30.09.2025 Investment guidelines Historical prices
IST Immo Invest Switzerland I DE|FR EN DE|FR 4.09 285.24 292.37 282.39 285.18 0.06 31.10.2025 2903122 0.96 DE|FR Prices
IST Immo Invest Switzerland II DE|FR EN DE|FR 4.17 289.04 296.27 286.15 288.95 0.09 31.10.2025 2903120 0.86 DE|FR Prices
IST Immo Invest Switzerland III DE|FR EN DE|FR 4.25 295.80 303.20 292.84 295.69 0.11 31.10.2025 2733869 0.78 DE|FR Prices
IST2 Immo Invest Switzerland 2 III DE|FR - - 1.40 1'014.00 1'024.14 1'003.86 1'013.47 0.53 31.10.2025 145102520 0.79 DE|FR Prices
IST Immo Optima Switzerland I DE|FR EN DE|FR 6.60 1'672.13 1'675.47 1'668.79 1'667.08 5.05 04.12.2025 1478761 1.14 DE|FR Prices
IST Immo Optima Switzerland II DE|FR EN DE|FR 6.66 1'698.21 1'701.61 1'694.81 1'692.90 5.31 04.12.2025 2903115 1.08 DE|FR Prices
IST Immo Optima Switzerland III DE|FR EN DE|FR 6.70 1'724.04 1'727.49 1'720.59 1'718.53 5.51 04.12.2025 2903116 1.04 DE|FR Prices
IST Residential Real Estate Switzerland DE|FR EN DE|FR 4.10 148.77 150.26 148.77 148.04 0.73 28.11.2025 24522912 0.37 DE|FR Prices
IST Real Estate Switzerland Focus DE|FR EN DE|FR 4.26 351'513.83 355'028.97 351'513.83 341'213.65 10'300.18 28.11.2025 259857 0.41 DE|FR Prices

Foreign Real Estate

Investment group Monthly report ESG Factsheet MSCI ESG Report* Key figures Performance YTD in % Net asset value Issue price Redemption price Net present value Accrued interest Value date Securities number TER KGAST in % p.a. 30.09.2025 Investment guidelines Historical prices
IST Global REIT I (CHF) - EN - - -100.00 on request on request on request on request on request 14.03.2025 37905098 0.54 - Prices
IST Global REIT II (CHF) DE|FR EN - DE|FR -1.73 1'530.79 1'534.62 1'526.96 1'531.05 -0.26 04.12.2025 37905101 0.48 DE|FR Prices
IST Global REIT III (CHF) - EN - - -0.83 1'491.85 1'495.58 1'488.12 1'492.18 -0.33 28.02.2024 37905102 0.44 - Prices
IST Real Estate Global USD III (USD) DE|FR EN - - 3.45 1'311.87 1'314.00 1'310.72 1'313.92 -2.05 30.06.2025 34217428 1.28 - Prices
IST Real Estate Global USD "G" (USD) DE|FR EN - - 3.51 1'314.12 1'316.39 1'313.10 1'315.63 -1.51 30.06.2025 113382075 1.24 - Prices
IST Real Estate Global Hedged CHF III (CHF) DE|FR EN - - -3.27 1'070.37 1'073.15 1'069.40 1'072.22 -1.85 30.06.2025 37905094 1.22 - Prices

Infrastructure

Investment group Monthly report ESG Factsheet MSCI ESG Report* Key figures Performance YTD in % Net asset value Issue price Redemption price Net present value Accrued interest Value date Securities number TER KGAST in % p.a. 30.09.2025 Investment guidelines Historical prices
IST3 Infrastruktur Global (CHF) - EN - - -2.50 1'210.99 1'210.99 1'210.99 1'211.07 -0.08 30.06.2025 24665533 on request - Prices
IST3 Infrastructure Debt USD I (USD) DE|FR EN - - 10.77 1'108.85 1'108.85 1'108.85 1'037.66 71.20 30.09.2025 33904650 0.64 - Prices
IST3 Infrastructure Debt USD II (USD) DE|FR EN - - 10.81 1'109.81 1'109.81 1'109.81 1'038.00 71.82 30.09.2025 33904675 0.59 - Prices
IST3 Infrastructure Debt 2 USD II (USD) DE|FR EN - - 11.54 1'127.11 1'127.11 1'127.11 1'026.83 100.28 30.09.2025 40242077 0.53 - Prices
IST3 Infrastructure Debt 3 EUR II (EUR) DE|FR EN - - 3.57 1'143.87 1'143.87 1'143.87 1'008.09 135.78 30.09.2025 55162546 0.45 - Prices

Alternatives Investments

Investment group Monthly report ESG Factsheet MSCI ESG Report* Key figures Performance YTD in % Net asset value Issue price Redemption price Net present value Accrued interest Value date Securities number TER KGAST in % p.a. 30.09.2025 Investment guidelines Historical prices
IST Insurance Linked Strategies III (USD) DE|FR EN - DE|FR 8.44 152.36 152.66 152.28 152.38 -0.02 31.10.2025 29908189 0.59 DE|FR Prices
IST Insurance Linked Strategies "G" (USD) DE|FR EN - DE|FR 8.46 152.58 152.89 152.50 152.60 -0.02 31.10.2025 110134577 0.57 DE|FR Prices
IST Insurance Linked Str.Hedged CHF I (CHF) DE|FR EN - DE|FR 4.08 111.32 111.60 111.21 111.35 -0.03 31.10.2025 31131494 0.72 DE|FR Prices
IST Insurance Linked Str.Hedged CHF II (CHF) DE|FR EN - DE|FR 4.15 112.37 112.65 112.26 112.39 -0.02 31.10.2025 31131874 0.65 DE|FR Prices
IST Insurance Linked Str.Hedged CHF III (CHF) DE|FR EN - DE|FR 4.18 112.85 113.13 112.74 112.87 -0.02 31.10.2025 31137216 0.60 DE|FR Prices
IST Insurance Linked Side Pocket 2 CHF (CHF) DE|FR EN - DE|FR -6.95 64.03 64.03 64.00 64.04 -0.01 31.10.2025 131931589 0.82 DE Prices
IST Insurance Linked Side Pocket 2 USD (USD) DE|FR EN - DE|FR 5.04 68.72 68.72 68.69 68.73 -0.01 31.10.2025 131930124 0.82 DE Prices
IST3 Private Equity EUR I (EUR) DE|FR EN - - 8.42 2'935.92 2'935.92 2'935.92 2'901.01 34.91 30.06.2025 34388761 on request - Prices
IST3 Private Equity EUR II (EUR) DE|FR EN - - 8.82 3'036.41 3'036.41 3'036.41 2'987.26 49.15 30.06.2025 34388819 on request - Prices
IST3 Private Equity EUR III (EUR) DE|FR EN - - 9.04 3'086.82 3'086.82 3'086.82 3'026.87 59.95 30.06.2025 34388823 on request - Prices
IST3 Private Equity 2 EUR I (EUR) DE|FR EN - - -4.83 1'328.53 1'328.53 1'328.53 1'334.49 -5.96 30.06.2025 46434812 on request - Prices
IST3 Private Equity 2 EUR II (EUR) DE|FR EN - - -4.75 1'340.82 1'340.82 1'340.82 1'342.15 -1.33 30.06.2025 46435227 on request - Prices
IST3 Private Equity 2 EUR III (EUR) DE|FR EN - - -4.70 1'353.83 1'353.83 1'353.83 1'351.36 2.47 30.06.2025 46435244 on request - Prices
IST3 Private Equity 3 Impact EUR I (EUR) DE|FR - - - 4.55 1'339.62 1'339.62 1'339.62 1'326.79 12.83 30.06.2025 121019701 on request - Prices
IST3 Private Equity 3 Impact EUR II (EUR) DE|FR - - - 4.37 1'323.92 1'323.92 1'323.92 1'322.12 1.80 30.06.2025 121019700 on request - Prices
IST3 Private Equity 3 Impact EUR III (EUR) DE|FR - - - 4.55 1'339.62 1'339.62 1'339.62 1'326.79 12.83 30.06.2025 121019701 on request - Prices