Luxembourg Funds performance table

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Funds home»country»Luxembourg
fund name 1 mth 3 mth 12 mth ytd Inceptionsort icon Net assets Return Date
T. Rowe Price Glbl Emg Mkts Bd SD 0% -1% 0% 0% 6% 11M 2014-10-31
UBS (Lux) BS Glbl Corp $ U-X-dist 0% 1% 6% 6% 6% 401M 2014-10-31
T. Rowe Price Global Aggregate Bd Z 0% -2% 1% 2% 6% 68M 2014-10-31
WMP EM Established Leaders CHF C 0% 4% 9% 12% 6% 61M 2014-10-31
Sparinvest SICAV HY Value Bonds EUR I -5% -10% -3% -5% 6% 429M 2014-10-31
UBAM Emerging Mkt Corp Bd I 1% 0% 7% 7% 6% 308M 2014-10-31
Anima Fund - European Equity I 0% 1% 15% 0% 6% 6M 2014-01-31
Nordea-1 North America Hg Yld Bd HBI NOK 1% 0% 7% 6% 6% 904M 2014-10-31
AXA WF Frm Italy M-C EUR -5% -4% 2% 1% 6% 462M 2014-10-31
db x-trackers II iBoxx SovEuroZ 7-10 1C 0% 2% 12% 13% 6% 141M 2014-10-31
UBAM Emerging Market Bond USD I 1% 0% 6% 7% 6% 213M 2014-10-31
BG Selection T-Cube CX 3% 0% 0% 3% 6% - 2013-01-31
ING(L)Patrimonial First Class MA I 0% 2% 7% 7% 6% 466M 2014-10-31
Threadneedle (Lux) Emg Mkt Corp Bd AEC 0% 0% 5% 5% 6% 73M 2014-10-31
AXA WF Frm Europe Small Cap FD EUR 0% 9% 25% 23% 6% 351M 2013-11-30
BlueBay Emerg Mkt Sel Bd Acc I USD(Perf) 1% -1% 1% 4% 6% 2640M 2014-10-31
AXA WF Global Strategic Bds F(H)-C EUR 0% 2% 2% 1% 6% 161M 2013-11-30
Fonditalia Core 3 T 0% 1% 7% 8% 6% 478M 2012-10-31
LO Funds - Gbl BBB-BB Fdmtl SH (EUR) IA 1% 2% 5% 2% 6% 220M 2014-02-28
Sparinvest SICAV EM Corp Val Bd EUR I -1% -3% 3% 3% 6% 305M 2014-10-31
Cohen&SteersSICAVEurpRealEsttSecsFund 2% 3% 19% 17% 6% 335M 2014-10-31
SKY Harbor Global - US HY B EURH Acc 0% 0% 4% 3% 6% 254M 2014-10-31
Cap Int EM Total Opportunities A7 0% 5% 18% 3% 6% 595M 2011-05-31
UBAM 30 Global Leaders Eq I EUR Acc 3% 1% 0% 0% 6% 118M 2014-02-28
Rorento DH EUR 0% 1% 5% 4% 6% 1351M 2014-07-31
Swiss Life (LUX) Eq Glb High Div I€ Acc 1% 3% 9% 7% 6% 124M 2014-10-31
Fideuram Zero Coupon 2035 0% 5% 33% 33% 6% 7M 2014-10-31
db x-trackers ATX (DR) 1C 0% -4% -13% -11% 6% 266M 2014-10-31
First Eagle Amundi International IHC-C 0% -2% 2% 1% 6% 4295M 2014-10-31
Dynamic Global Dividend Value I -2% -5% 10% -2% 6% - 2011-07-31

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