Performance der Anlageklassen über 5 Jahre

Performance der Anlageklassen
über 5 Jahre

Stock markets

 20212022202320242025
Dow Jones 21.3%-10.6% 11.7%  9.3% 11.6%
S&P500 28.7%-18.1% 26.3%25.0%
 17.9%
NASDAQ Composite 22.2%-32.5% 44.6%29.6% 21.1%
MSCI AC World 19.0%-18.0% 22.8%18.0% 22.9%
MSCI AC World ex USA   8.3%-15.6% 16.2%  6.1% 33.1%
MSCI China-21.2%-21.7%-11.0%19.1% 31.7%
MSCI Europe  25.9%   -8.9% 16.6%  9.3% 20.1%
MSCI EMU 24.2%-12.0% 20.7%  8.3% 24.6%
MSCI World Small Cap 16.2%-18.4% 16.3%  8.6% 20.4%
Switzerland SMI  23.7%-14.3%  7.1%  7.5% 18.0%
Japan Nikkei   6.7%   -7.3% 31.0%21.3% 28.7%
CBOE Volatility (VIX)  -5.5%    4.5% -9.2%  4.9%-2.4%

Currency

 20212022202320242025
EURUSD -7.1%  -6.2%  3.5%  -6.3%13.4%
GBPUSD -0.9%-11.2%  6.0%  -1.8%  7.4%
USDCHF  3.1%    1.5%-9.0%   7.7%-12.6%
USDJPY11.5%  14.6%  6.8% 11.5%-0.3%
USDCNY -2.5%    9.1%  2.0%   2.9%-4.3%
EURCHF -4.2%  -4.7%-5.8%   0.9%-0.8%

Commodity

 20212022202320242025
Gold ($/ozt)  -3.5%-0.4% 13.3%27.5% 64.5%
Silver ($/ozt)-11.6%  2.9%  -0.8%21.5%147.9%
Crude Oil ($/bbl)  50.8%  7.2%  -6.2% -4.0%-18.4%

Corporate bonds

 20212022202320242025
US Investment Grade-1.0%-15.4%  8.4%2.8% 7.8%
US High Yield  5.4%-11.2%13.4%8.2% 8.5%
EU Investment Grade-1.0%-13.9%  8.0%4.7% 3.0%
EU High Yield  3.3%-11.5%12.0%8.6% 5.1%
Swiss Bond Index-1.8%-12.1%  7.4%5.3%-0.1%

Note: Total returns, except for Dow Jones, commodities and currencies (price returns). In local currency.

Source: Pictet Wealth Management, FactSet, as at 31.12.2025

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