BMS UCITS

Brummer Multi-Strategy's objective is to consistently deliver absolute returns irrespective of the market environment. The BMS UCITS fund has a higher volatility target vs BMS AIF (1.5x) and is also the most liquid offering. 

Return as of 21/04/2026

Month to date

+1.6 %

Year to date

+3.2 %

21/04/2026
Date
NAV per share
Fund assets
Programme assets

21/04/2026
126.44 CHF
775 MCHF
33,155 MSEK
Programme assets

33,155 MSEK

Performance

BMS UCITS Institutional CHF

31/03/2026

BMS UCITS Institutional CHF

BMS UCITS Institutional CHF

Last month

-1.50 %

Year to date

+1.51 %

Last 12 months

+12.17 %

Sharpe ratio

0.49

Standard deviation

+5.81 %

Past performance is not a guarantee of future returns. The value of the capital invested in a fund may increase or decrease and there no guarantee that all of your invested capital can be redeemed.

31/03/2026

Historical return

Period
BMS UCITS Institutional CHF
German 3-month T-Bill (EUR)

Last month
-1.50 %
+0.18 %
Year to date
+1.51 %
+0.51 %
Last 12 months
+12.17 %
+1.99 %
Since inception
+24.42 %
+8.66 %
Annualised return since inception
+4.58 %
+1.71 %
Last month

BMS UCITS Institutional CHF
-1.50 %
German 3-month T-Bill (EUR)
+0.18 %
Year to date

BMS UCITS Institutional CHF
+1.51 %
German 3-month T-Bill (EUR)
+0.51 %
Last 12 months

BMS UCITS Institutional CHF
+12.17 %
German 3-month T-Bill (EUR)
+1.99 %
Since inception

BMS UCITS Institutional CHF
+24.42 %
German 3-month T-Bill (EUR)
+8.66 %
Annualised return since inception

BMS UCITS Institutional CHF
+4.58 %
German 3-month T-Bill (EUR)
+1.71 %

31/03/2026

Risk measures and key values

Key values
BMS UCITS Institutional CHF
German 3-month T-Bill (EUR)

Standard deviation
+5.81 %
+0.48 %
Max drawdown
-4.93 %
-0.89 %
Sharpe ratio
0.49
0.00
Standard deviation

BMS UCITS Institutional CHF
+5.81 %
German 3-month T-Bill (EUR)
+0.48 %
Max drawdown

BMS UCITS Institutional CHF
-4.93 %
German 3-month T-Bill (EUR)
-0.89 %
Sharpe ratio

BMS UCITS Institutional CHF
0.49
German 3-month T-Bill (EUR)
0.00

Fees

Management fee: 1.5 %

Performance fee: 20 %, high-water mark and hurdle (4-week T-Bill for USD class) 

More information on fees is found in the fund's Prospectus and Supplement.

ISIN: IE00BMXZ3K61
Bloomberg: BRMSICH

*Since inception.  Note that the indexes referred to do not constitute a reference to how the management of each fund is structured. For information on the investment strategy and asset management objectives of each fund, please refer to the current information memorandum with related fund rules and the key investor information.  

We use cookies to optimise your user experience and provide you with relevant advertisement. You decide which cookies you would like to approve, except for those cookies that are necessary in order for the website to work properly, i.e. necessary cookies. By clicking “Approve all” you consent to the use of cookies for analysis and marketing on this website. This is optional.  To change what cookies we use, click on “Settings”. You can revoke your cookie consent at any time via the link available in the footer.

Read more about cookies