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Performance Reports

July 2025: Fund Performance 5.9%

02/08/2025

Our performance in July 2025 is 5.9% (YTD: 22.2%). Since the start in May 2019, our performance is 166.1% vs. 103.1% for the MSCI World. The fund value per unit as of July 2025 is EUR 266.08.

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June 2025: Fund Performance 2.1%

03/07/2025

Our performance in June 2025 is 2.1% (YTD: 15.4%). Since the start in May 2019, our performance is 151.3% vs. 95,5% for the MSCI World. The fund value per unit as of June 2025 is EUR 251,29.

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May 2025: Fund Performance 7.1%

05/06/2025

Our performance in May 2025 is 7.1% (YTD: 13.0%). Since the start in May 2019, our performance is 146.0% vs. 93.8% for the MSCI World. The fund value per unit as of May 2025 is EUR 246.02.

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April 2025: Fund Performance -0.5%

01/05/2025

Our performance in March 2025 is -3.6% (YTD: 6.0%). Since the start in May 2019, our performance is 130.9% vs. 90.6% for the MSCI World. The fund value per unit as of February 2025 is EUR 230.89.

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March 2025: Fund Performance -3.6%

04/04/2025

Our performance in March 2025 is -3.6% (YTD: 6.0%). Since the start in May 2019, our performance is 130.9% vs. 90.6% for the MSCI World. The fund value per unit as of February 2025 is EUR 230.89.

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