France Funds performance table

help icon
Funds home»country»France
fund namesort icon 1 mth 3 mth 12 mth ytd Inception Net assets Return Date
Agressor GPF 2% 7% 23% 7% 5% 1607M 2014-04-30
Alcis Alpha Obligations Crédit I 0% -1% 2% 0% 4% 47M 2015-01-31
Alias Inv Lyxor Convert B&V Arbt Idx IE 0% 1% 0% 0% 1% 4M 2013-01-31
Alias Inv Lyxor Convert B&V Arbt Idx IU 0% 1% 1% 0% 2% 6M 2013-01-31
Alias Inv Lyxor Credit Strategies Idx IE 0% -3% -2% 0% 0% 7M 2015-01-31
Alias Inv Lyxor Credit Strategies Idx IU 0% -3% -2% 0% 0% 9M 2015-01-31
Alias Inv Lyxor CTA Long Term Idx IE 1% 0% -5% -4% -2% 4M 2014-04-30
Alias Inv Lyxor CTA Long Term Idx IU 3% 6% 14% 5% 0% 5M 2014-09-30
Alias Inv Lyxor Hedge Index IE 1% 2% 0% 1% 1% 30M 2015-01-31
Alias Inv Lyxor Hedge Index IU 1% 2% 0% 1% 0% 40M 2015-01-31
Alias Inv Lyxor L/S Eq Long Bias Idx IE -2% -1% 1% -2% 3% 5M 2014-09-30
Alias Inv Lyxor L/S Eq Long Bias Idx IU -1% -1% 1% -2% 4% 7M 2014-09-30
Alias Inv Lyxor L/S Eq Var Bias Idx IE -2% -2% 2% -2% -2% 3M 2014-04-30
Alias Inv Lyxor L/S Eq Var Bias Idx IU 0% 0% 3% -2% 0% 5M 2014-08-31
Alias Inv Lyxor Merger Arbitr Idx IE 0% 0% -4% 0% 1% 11M 2015-01-31
Alias Inv Lyxor Merger Arbitr Idx IU 0% 0% -4% 0% 1% 15M 2015-01-31
Alias Inv Lyxor Special Situat Idx IE -1% 2% -4% -1% 0% 8M 2015-01-31
Alias Inv Lyxor Special Situat Idx IU -1% 2% -3% -1% 0% 11M 2015-01-31
Alienor Alter Euro I 2% 2% 2% 2% 2% - 2015-01-31
Alienor Optimal I 4% 5% 1% 4% -3% - 2015-01-31
Alis Alternative Advisors Fund Acc 0% -2% -2% -1% 2% - 2012-10-31
Alis Optimum Fund 0% 1% 2% 0% -3% - 2011-09-30
Alisé Asian Equities I 10% 10% 27% 10% 3% 1M 2015-01-31
Allianz Commodities Strategy W EUR 2% 1% 23% 7% 6% 146M 2011-08-31
Allianz Customized Global Eq C 1% 1% 13% 9% 0% 30M 2012-11-30
Allianz Dresdner Endowment 2010 plc 0% 0% 4% 1% 1% - 2010-10-31
Allianz Eastern Europe Equity W EUR 3% -9% -10% 3% -8% 47M 2015-01-31
Allianz Eastern Europe I EUR -11% -15% -28% -2% -12% 92M 2012-05-31
Allianz Emerging Markets Bond Fd I EUR 0% -5% 3% 0% 6% 611M 2015-01-31
Allianz Emerging Markets Bond Fd IT USD 0% 0% 0% 0% -5% 887M 2014-10-31

All our data is licensed from Morningstar UK Ltd. Important legal information