Luxembourg Funds performance table

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fund name 1 mth 3 mth 12 mth ytd Inceptionsort icon Net assets Return Date
Merrill Lynch FenicianEqLS UCITS$InlSeed 1% 6% 0% 6% 6% 69M 2015-03-31
Candriam Bds Euro Convergence I 0% 3% 13% 3% 6% 88M 2015-03-31
Amundi Fds Bd Global IU-C -1% 0% -1% 0% 6% 321M 2015-03-31
AXA IM FIIS EU Short Dur HY B-C EUR 0% 2% 2% 2% 6% 1236M 2015-03-31
1741(Lux)Glbl Risk Divers IXL EUR 0% 6% 16% 6% 6% 335M 2015-03-31
LO Selection - Sovereign Bond IA CHF 0% 0% 7% 0% 6% 194M 2015-03-31
CS PST (Lux) Global Equities L/S FBH EUR 0% 2% 0% 2% 6% 107M 2015-03-31
Candriam Eqs L Sustainable Wld Z EUR Acc 3% 16% 34% 16% 6% 357M 2015-03-31
Nordea-1 Heracles Long/Short MI AI EUR 2% 10% 26% 10% 6% 161M 2015-03-31
Miller Howard Sicav Dividend Eqty USD I -1% -1% 1% -1% 6% 23M 2015-03-31
db x-trackers II iBoxx SovEuroZ 5-7 1C 0% 1% 8% 1% 6% 260M 2015-03-31
db x-trackers II iBoxx SovEuroZ 1C 1% 4% 13% 4% 6% 1376M 2015-03-31
JPM Global High Yield Bd I EUR Hdg Inc 0% 2% 1% 2% 6% 4295M 2015-03-31
Swisscanto (LU) BI EUR J 1% 3% 12% 3% 6% 374M 2015-03-31
Duemme SICAV Alkimis Classic I EUR Acc 1% 1% 0% 1% 6% 86M 2015-03-31
KBC Life Invest K&H Tree 4 0% 1% 4% 4% 6% 1316M 2011-10-31
JB EF Euroland Value-EUR Ca 3% 18% 8% 18% 6% 161M 2015-03-31
Candriam Life Bonds Corporate Euro I 0% 1% 7% 1% 6% 121M 2015-03-31
UBAM Emerging Market Bond USD I EUR 0% 0% 1% 0% 6% 158M 2015-03-31
Robeco Chinese Equities I USD Acc 3% 5% 20% 5% 6% 1370M 2015-03-31
Next Generation AR Secquaero ILS $IA 0% 2% 6% 6% 6% 58M 2012-10-31
SOP I SICAV SOP AnleihenChinaPlus I USD 2% 1% 5% 1% 6% 95M 2015-03-31
Amundi Fds Convertible Global IE-D 0% 4% 6% 4% 6% 366M 2015-03-31
BGF Global Inflation Lnkd Bd Hdg X2 EUR 1% 3% 10% 3% 6% 185M 2015-03-31
RBC Funds (Lux) Cnsrv Port O EUR Hdg 0% 1% 5% 1% 6% 18M 2015-03-31
CS (Lux) Global Value Bond EBH CHF 0% 1% 0% 1% 6% 447M 2015-03-31
JPM Emerg Mkts Corp Bd X (acc) - USD 0% 1% 4% 1% 6% 2301M 2015-03-31
JPM US High Yield Plus Bd X GBP Hdg Acc 0% 2% 3% 2% 6% 123M 2015-03-31
SKY Harbor Global - US HY A GBPH Acc 0% 1% 0% 1% 6% 232M 2015-03-31
OYSTER Global Convertibles I EUR 0% 5% 3% 5% 6% 473M 2015-03-31

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