Dorey Financial Modelling https://dev.priipsolution.com Packaged Retail and Insurance-based Investment Products Thu, 26 Mar 2026 13:10:13 +0000 en-US hourly 1 https://wordpress.org/?v=6.9.4 https://dev.priipsolution.com/wp-content/uploads/2018/10/cropped-tab-icon-32x32.png Dorey Financial Modelling https://dev.priipsolution.com 32 32 Story A https://dev.priipsolution.com/lgt-global-private-credit-s-a-sicav-raif-2/ https://dev.priipsolution.com/lgt-global-private-credit-s-a-sicav-raif-2/#respond Thu, 26 Mar 2026 13:04:35 +0000 https://dev.priipsolution.com/?p=4266 #top .av-special-heading.av-mn7fx5bb-fadb4ae9c01e32ec0fa26ae58c274372{ padding-bottom:10px; } body .av-special-heading.av-mn7fx5bb-fadb4ae9c01e32ec0fa26ae58c274372 .av-special-heading-tag .heading-char{ font-size:25px; } .av-special-heading.av-mn7fx5bb-fadb4ae9c01e32ec0fa26ae58c274372 .av-subheading{ font-size:15px; }

LGT Global Private Credit S.A., SICAV-RAIF

PERFORMANCE SCENARIOS

The figures shown include all the costs of the product itself but may not include all the costs that you pay to your advisor or distributor. The figures do not take into account your personal tax situation, which may also affect how much you get back. What you will get back from this product depends on future market performance. Market developments in the future are uncertain and cannot be accurately predicted.

Since the Fund does not have any trading history, the unfavourable, moderate, and favourable scenarios shown are illustrations using the worst, average, and best performance of comparable products (the “Benchmark”) over the last 11 years. Markets could develop very differently in the future. The stress scenario shows what you might get back in extreme market circumstances.

Recommended holding period: 6 years
Example investment: 10,000 USD

SCENARIOS
3RD FEBRUARY 2025
1 YEAR 6 YEARS
RECOMMENDED HOLDING PERIOD
MINIMUM There is no minimum guaranteed return if you exit before 6 years. You could lose some or all of your investment.
STRESS SCENARIO What you might get back after costs 4,290 USD 4,360 USD
Average Return each year -57.08% -12.93%
UNFAVOURABLE SCENARIO¹ What you might get back after costs 8,930 USD 10,790 USD
Average Return each year -10.69% 1.28%
MODERATE SCENARIO² What you might get back after costs 10,400USD 12,680 USD
Average Return each year 4.01% 4.04%
FAVOURABLE SCENARIO³ What you might get back after costs 12,280 USD 14,260 USD
Average Return each year 22.83% 6.09%

¹ This type of one-year scenario occurred for an investment in the Benchmark between Mar 2019 and Mar 2020. The six-year scenario occurred for an investment in the Benchmark between Mar 2014 and Mar 2020.
² This type of one-year scenario occurred for an investment in the Benchmark between Feb 2014 and Feb 2015. The six-year scenario occurred for an investment in the Benchmark between May 2015 and May 2021.
³ This type of one-year scenario occurred for an investment in the Benchmark between Mar 2020 and Mar 2021. The six-year scenario occurred for an investment in the Benchmark between Dec 2018 and Dec 2024.

PAST PERFORMANCE

12.92%10.06%5.12%6.74%23.96%1.37%11.87%11.83%051015202530Calendar years2015201620172018201920202021202220232024Per cent (%)

Past Performance:

  1. Is not a reliable indication of future performance.
  2. Includes ongoing charges and the reinvestment of income. It excludes entry and exit fees.
  3. Has been calculated in USD.

KEY DOCUMENTS

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LGT Global Private Credit S.A., SICAV-RAIF https://dev.priipsolution.com/lgt-global-private-credit-s-a-sicav-raif/ https://dev.priipsolution.com/lgt-global-private-credit-s-a-sicav-raif/#respond Thu, 26 Mar 2026 12:11:28 +0000 https://dev.priipsolution.com/?p=4257 #top .av-special-heading.av-mn7fx5bb-fadb4ae9c01e32ec0fa26ae58c274372{ padding-bottom:10px; } body .av-special-heading.av-mn7fx5bb-fadb4ae9c01e32ec0fa26ae58c274372 .av-special-heading-tag .heading-char{ font-size:25px; } .av-special-heading.av-mn7fx5bb-fadb4ae9c01e32ec0fa26ae58c274372 .av-subheading{ font-size:15px; }

LGT Global Private Credit S.A., SICAV-RAIF

PERFORMANCE SCENARIOS

The figures shown include all the costs of the product itself but may not include all the costs that you pay to your advisor or distributor. The figures do not take into account your personal tax situation, which may also affect how much you get back. What you will get back from this product depends on future market performance. Market developments in the future are uncertain and cannot be accurately predicted.

Since the Fund does not have any trading history, the unfavourable, moderate, and favourable scenarios shown are illustrations using the worst, average, and best performance of comparable products (the “Benchmark”) over the last 11 years. Markets could develop very differently in the future. The stress scenario shows what you might get back in extreme market circumstances.

Recommended holding period: 6 years
Example investment: 10,000 USD

SCENARIOS
3RD FEBRUARY 2025
1 YEAR 6 YEARS
RECOMMENDED HOLDING PERIOD
MINIMUM There is no minimum guaranteed return if you exit before 6 years. You could lose some or all of your investment.
STRESS SCENARIO What you might get back after costs 4,290 USD 4,360 USD
Average Return each year -57.08% -12.93%
UNFAVOURABLE SCENARIO¹ What you might get back after costs 8,930 USD 10,790 USD
Average Return each year -10.69% 1.28%
MODERATE SCENARIO² What you might get back after costs 10,400USD 12,680 USD
Average Return each year 4.01% 4.04%
FAVOURABLE SCENARIO³ What you might get back after costs 12,280 USD 14,260 USD
Average Return each year 22.83% 6.09%

¹ This type of one-year scenario occurred for an investment in the Benchmark between Mar 2019 and Mar 2020. The six-year scenario occurred for an investment in the Benchmark between Mar 2014 and Mar 2020.
² This type of one-year scenario occurred for an investment in the Benchmark between Feb 2014 and Feb 2015. The six-year scenario occurred for an investment in the Benchmark between May 2015 and May 2021.
³ This type of one-year scenario occurred for an investment in the Benchmark between Mar 2020 and Mar 2021. The six-year scenario occurred for an investment in the Benchmark between Dec 2018 and Dec 2024.

PAST PERFORMANCE

12.92%10.06%5.12%6.74%23.96%1.37%11.87%11.83%051015202530Calendar years2015201620172018201920202021202220232024Per cent (%)

Past Performance:

  1. Is not a reliable indication of future performance.
  2. Includes ongoing charges and the reinvestment of income. It excludes entry and exit fees.
  3. Has been calculated in USD.

KEY DOCUMENTS

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