ARTIFICIAL INTELLIGENCE • ACTIVE MANAGEMENT

PRISMA Beyonder

Go beyond the limits of conventional asset management, with 401 distinct allocations driven by artificial intelligence.

Why Beyonder?

A revolutionary approach to multi-asset investing

🚀

Innovative

A multi-asset product built on the latest advances in AI, with technology attested by PwC.

📈

Performance

Prisma Beyonder outperforms its Swiss-franc multi-asset peers, with a three-year track record and CHF 33 million under management.

🎯

Comprehensive

Explores the full opportunity set (20% to 80% equities), running 401 alternative allocations in constant competition.

💎

Accessible

A turnkey product that is easy to invest in: liquid, low-cost and with limited operational risk.

🔍

Transparent

Regular reporting on performance and asset management, with full visibility of the strategy.

🏛️

Solid structure

A partnership with Prisma, a supervised, tax-efficient, not-for-profit investment foundation.

Key figures

The product at a glance

ISIN
CH1458...

989774 / 989782

AUM target
CHF 100M

Target by Q1 2026

Total TER
~80 bps

All-in annual cost

Management fee
0.4%

+ 0.2% Prisma fee p.a.

Min. investment
CHF 1'000

Invest from just one thousand francs

Liquidity
Weekly

Weekly redemptions

Rebalancing
Monthly

Last business day

Asset classes
10

Broad diversification

Artificial intelligence at the heart of the strategy

All-weather navigation

Our suite of algorithms ingests financial data daily and challenges the portfolio allocation in light of market shifts that, for the most part, are beyond what any human mind can track.

Beyonder constantly explores 401 distinct allocations, from 20% to 80% equities — something no human manager could ever match for rigour and thoroughness.

Objective: continuously minimise regret by remaining optimally invested at all times, creating value through consistently appropriate positioning.

401

Alternative allocations analysed in real time

6.6%

Annualised return of the AI solution (2001-2025)

5.78%

Annualised return, net of management fees

225%

Allocation range across the variable portion (60%)

Asset class performance

Results over the 2001-2025 period

Foreign equities SC360%
CH real estate329%
EM equities309%
EM bonds (hedged)231%
CH equities224%
Foreign equities MD217%
Foreign real estate (hedged)183%
CHF bonds73%
Int. bonds (hedged)55%
Cash9%

Period under review: 01.01.2001 – 31.12.2025

Returns vary considerably from year to year, yet every asset class contributes positively over the long run.

Ready to go beyond?

Find out how Prisma Beyonder can strengthen your investment strategy

Contact us