Paris (France) Funds performance table

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fund namesort icon 1 mth 3 mth 12 mth ytd Inception Net assets Return Date
SSgA Euro Sustainable Corp Bd Indx Fd ID 0% 0% 0% 0% 0% 498M -
SSgA Europe Alpha Equity Fund I B 1% 0% 20% 5% 18% 85M 2014-08-31
SSgA Europe Alpha Equity Fund I IC 1% 0% 19% 5% 10% 85M 2014-08-31
SSgA Europe ex UK Index Real Estate Fd I 2% 3% 25% 18% 10% 148M 2014-08-31
SSgA Europe Index Equity Fund B 2% 0% 18% 6% 14% 695M 2014-08-31
SSgA Europe Index Equity Fund I 2% 0% 18% 6% 6% 695M 2014-08-31
SSgA Europe Index Real Estate Fund B 2% 3% 29% 18% 18% 34M 2014-08-31
SSgA Europe Index Real Estate Fund I 2% 3% 29% 18% 7% 34M 2014-08-31
SSgA Europe Managed Volatility Eqty Fd I 1% 0% 18% 8% 11% 84M 2014-08-31
SSgA Europe SRI Alpha Equity Fund I I 1% 8% 17% 11% 2% 1M 2012-09-30
SSgA Financials Index Equity I EUR 3% 5% 18% 9% 17% 36M 2014-08-31
SSgA Financials Index Equity I NL EUR 3% 0% 0% 0% 3% 36M 2014-08-31
SSgA Financials Index Equity I USD 1% 2% 18% 4% 0% 48M 2014-08-31
SSgA Flexible Asset Allocation Plus B 2% 2% 10% 5% 9% 52M 2014-08-31
SSgA Fundamental Eq Eurozone Spotlight I 0% -4% 0% 0% 1% 21M 2014-08-31
SSgA Fundamental Eq Global Spotlight I 0% 4% 16% 7% 0% 52M 2014-08-31
SSgA Glbl Emerg Mkts Alpha Eq I I EUR 4% 10% 15% 14% 2% 51M 2014-08-31
SSgA Glbl Managed Volatility Equity B 2% 2% 20% 11% 16% 177M 2014-08-31
SSgA Glbl Managed Volatility Equity I 2% 1% 19% 11% 12% 177M 2014-08-31
SSgA Glbl Treasury Bond Idx B 1% 1% 0% 2% 0% 311M 2014-02-28
SSgA Glbl Treasury Bond Idx I 0% 0% 5% 4% 2% 311M 2014-08-31
SSgA Glbl Treasury Bond Idx I USD H-C 1% 1% 5% 5% 3% 311M 2014-08-31
SSgA Glbl Treasury Bond Idx P 0% 0% 4% 4% 3% 311M 2014-08-31
SSgA Global Emerging Markets Index Eq B 2% 7% 20% 10% 9% 116M 2014-08-31
SSgA Global Emerging Markets Index Eq I 2% 7% 19% 10% 4% 116M 2014-08-31
SSgA Health Care Index Equity I EUR 5% 9% 28% 19% 24% 58M 2014-08-31
SSgA Health Care Index Equity I NL EUR 5% 0% 0% 0% 7% 58M 2014-08-31
SSgA Health Care Index Equity I USD 3% 5% 28% 13% 0% 77M 2014-08-31
SSgA Hong Kong Index Equity Fund B 0% 5% 0% 9% 11% 206M 2014-08-31
SSgA Hong Kong Index Equity Fund I 0% 5% 20% 9% 20% 206M 2014-08-31

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