Luxembourg Funds performance table

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fund namesort icon 1 mth 3 mth 12 mth ytd Inception Net assets Return Date
iPath® Pure Beta Lead ETN 5% -2% -14% -2% -11% 6M 2015-03-31
iPath® Pure Beta Livestock ETN 0% -7% 4% -7% 0% 5M 2015-03-31
iPath® Pure Beta Nickel ETN -12% -18% -23% -18% -19% 4M 2015-03-31
iPath® Pure Beta Precious Metals ETN -2% 0% -11% 0% -10% 4M 2015-03-31
iPath® Pure Beta S&P GSCI®-Weighted ETN -6% -7% -37% -7% -14% 4M 2015-03-31
iPath® Pure Beta Softs ETN -9% -15% -34% -15% -19% 7M 2015-03-31
iPath® Pure Beta Sugar ETN -14% -21% -43% -21% -19% 7M 2015-03-31
iPath® S&P 500 Dynamic VIX ETN 1% 1% -7% 1% -14% - 2015-03-31
iPath® S&P 500 VIX MT Futures™ ETN 0% -3% -16% -3% -28% - 2015-03-31
iPath® S&P 500 VIX ST Futures™ ETN -6% -18% -39% -18% -59% - 2015-03-31
iPath® S&P GSCI® Crude Oil TR ETN -9% -19% -58% -19% -17% - 2015-03-31
iPath® S&P GSCI® Total Return ETN -7% -9% -43% -9% -10% - 2015-03-31
iPath® Seasonal Natural Gas ETN -2% -9% -34% -9% -20% 6M 2015-03-31
iPath® Short Enh MSCI Emerg Mkts ETN 3% -7% -7% -7% -6% - 2015-03-31
iPath® US Treasury 10-year Bear ETN -6% -16% -36% -16% -18% 93M 2015-03-31
iPath® US Treasury 10-year Bull ETN 1% 4% 14% 4% 9% 5M 2015-03-31
iPath® US Treasury 2-year Bear ETN -4% -9% -16% -9% -8% 13M 2015-03-31
iPath® US Treasury 2-year Bull ETN 2% 5% 9% 5% 5% 18M 2015-03-31
iPath® US Treasury 5-year Bear ETN -5% -11% -22% -11% -11% - 2015-03-31
iPath® US Treasury 5-year Bull ETN 2% 6% 14% 6% 7% - 2015-03-31
iPath® US Treasury Flattener ETN 0% 0% 7% 0% 4% 138M 2015-03-31
iPath® US Treasury Long Bond Bear ETN -4% -10% -39% -10% -18% 15M 2015-03-31
iPath® US Treasury Long Bond Bull ETN 1% 2% 17% 2% 9% 15M 2015-03-31
iPath® US Treasury Steepener ETN 0% 0% -12% 0% -7% 21M 2015-03-31
IRIS SICAV FIS Bond Core Plus -4% -5% -15% -14% -33% 0M 2011-10-31
IRIS SICAV FIS Flex 30 -2% -3% -12% -14% -14% 3M 2011-11-30
IRIS SICAV FIS FOREX GOLD -2% -2% -10% -9% -10% 1M 2011-10-31
IRIS SICAV FIS Index Cliquet Rgst Acc -3% -3% 0% -6% -9% 0M 2013-05-31
IRIS SICAV FIS Radar R 0% 0% -16% -16% -18% 1M 2014-12-31
IRIS SICAV FIS Sfera R 0% -5% -9% -5% -2% 2M 2014-04-30

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