Luxembourg Funds performance table

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Funds home»country»Luxembourg
fund name 1 mth 3 mth 12 mthsort icon ytd Inception Net assets Return Date
JPM US Aggregate Bond X (acc) - USD 0% 0% 2% 0% 5% 1932M 2015-06-30
Santander Eurobond Flex. Duration I 0% 0% 2% 1% 2% 5M 2013-05-31
AgaNola Glb Cnvrtbls Focus InvGrd I CHFH -1% 1% 2% 2% 3% 120M 2015-06-30
ComStage iBoxx€ LiqSov Divrs Ovrl TR ETF -2% -4% 2% -1% 4% 99M 2015-06-30
LFP JKC China Value I USD -5% 8% 2% 8% 9% 120M 2015-06-30
AXA WF Euro Credit IG AD EUR 0% 2% 2% 1% 6% 380M 2013-11-30
NN (L) Glbl Inf Lnkd Bd I Cap EUR H iii -1% -2% 2% 0% 2% 176M 2015-06-30
CS PST (Lux) Event Driven R EUR -3% -4% 3% -3% 0% 12M 2011-06-30
Candriam Bds Sust Euro I EUR Acc -2% -4% 3% -1% 4% 64M 2015-06-30
Goldman Sachs AR Trkr Port M Acc 0% 2% 3% 3% 0% - 2014-12-31
DWS Invest Income Strategy Plus FC 0% 1% 3% 2% 2% 105M 2012-05-31
CS (Lux) EU Sovereign Plus Bond EBH CHF -2% -6% 3% -2% 3% 294M 2015-06-30
LFP JKC Asia Value I EUR -3% 3% 3% 9% 0% 39M 2015-06-30
Amundi Fds Index Eq Emerging Mkts IG-C -5% -4% 3% 2% 4% 75M 2015-06-30
Amundi Fds Index Eq Emerging Mkts IG-D -5% -4% 3% 2% 4% 75M 2015-06-30
Candriam Bds Sust Euro I EUR Inc -2% -4% 3% -1% 4% 64M 2015-06-30
Rovere Obbligazionario IC 0% 0% 3% 3% 3% 63M 2014-11-30
JB BF Global Convert Bond EUR C -1% 0% 3% 2% 1% 267M 2015-06-30
iPath® CBOE S&P 500 BuyWrite ETN 0% 1% 3% 3% 3% - 2015-06-30
CMI UK Equity Fund SC2 -6% 0% 3% 4% 0% 90M 2015-06-30
CB-Accent Lux Explorer Fd of Fd A EUR -2% -1% 3% 2% 3% 44M 2015-06-30
DB PWM II Act Asset Alloc Port Cons € C -2% -3% 3% 1% 2% 67M 2015-06-30
Threadneedle(Lux) American Select ZFH -1% 1% 3% 2% 4% 8M 2015-06-30
Robeco All Strategy Euro Bonds IH -2% -4% 3% -1% 4% 1311M 2015-06-30
Pareturn CTH Ratio High Yield I EUR 0% 0% 3% 2% 3% 46M 2015-06-30
ComStage iBoxx€ LiqSov Divrs 5-7 TR ETF -1% -3% 3% -1% 5% 361M 2015-06-30
CS Portfolio Fund (Lux) Balanced CHF I 1% 2% 3% 3% 7% 1261M 2014-05-31
Swisscanto (LU) SmartCore Eq Asia Pac J -3% 1% 3% 6% 10% 30M 2015-06-30
CS Nova (Lux)Global Senior Loan MB USD 0% 1% 3% 3% 4% 3248M 2015-06-30
BBGI SICAV Ord -1% 0% 3% -1% 5% - 2015-06-30

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