Switzerland Funds performance table

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fund namesort icon 1 mth 3 mth 12 mth ytd Inception Net assets Return Date
Threadneedle US Equity Income Instl Inc 5% 8% 18% 17% 17% 83M 2014-11-30
Threadneedle Worldwide Select I 1% 2% 7% 2% 4% 3M 2014-08-31
Threadneedle(Lux) American Abs Alp IU 0% 2% 0% 3% 3% 46M 2011-05-31
Threadneedle(Lux) Emg Mkts Corp Bd W 0% 2% 13% 4% 13% 78M 2011-05-31
Threadneedle(Lux) Enh Cmdty Port AEH -4% -12% -15% -15% -2% 475M 2014-11-30
Threadneedle(Lux) Enh Cmdty Port AFH -4% -12% -15% -15% -12% 573M 2014-11-30
Threadneedle(Lux) Enh Cmdty Port AGH -4% -12% -15% -15% -1% 372M 2014-11-30
Threadneedle(Lux) Enh Cmdty Port ASH 0% 0% 0% 0% 0% 765M -
Threadneedle(Lux) Enh Cmdty Port DEH -4% -12% -15% -16% -2% 475M 2014-11-30
Threadneedle(Lux) Enh Cmdty Port IEH -4% -12% -14% -15% -1% 475M 2014-11-30
Threadneedle(Lux) Enh Cmdty Port IFH -4% -12% -15% -15% -12% 573M 2014-11-30
Threadneedle(Lux) Enh Cmdty Port IGH -4% -12% -14% -14% 0% 372M 2014-11-30
Threadneedle(Lux) Enh Cmdty Port IKH -4% -12% -14% -14% -12% 4295M 2014-11-30
Threadneedle(Lux) Enh Cmdty Port IU -5% 1% 0% 6% 39% 102M 2011-05-31
Threadneedle(Lux) Enh Cmdty Port XGH -4% -12% -13% -13% -9% 372M 2014-11-30
Threadneedle(Lux) Enh Cmdty Port ZFH Acc -4% -12% -15% -15% -12% 573M 2014-11-30
Threadneedle(Lux) Enh Cmdty Port ZGH 0% 0% 0% 0% 0% 372M -
Threadneedle(Lux) Enh Cmdty Port ZU Acc -4% -12% -14% -14% -1% 595M 2014-11-30
Threadneedle(Lux) Global EM S/T Bds W 0% 3% 12% 3% 0% 160M 2011-05-31
Threadneedle(Lux) Global Energy Eqs IU -5% -5% 33% 4% 8% 47M 2011-05-31
Threadneedle(Lux) Global Innovation IU 1% 11% -16% 24% -15% 13M 2009-08-31
Threadneedle(Lux) Target Return USD IU -1% -1% -2% -2% -2% 33M 2011-05-31
Threadneedle(Lux) US Dynamic Eqs IEH 2% 7% 4% 4% 4% - 2009-09-30
Threadneedle(Lux) US Dynamic Eqs IU 2% 8% 3% 4% 0% - 2009-09-30
Threadneedle(Lux) US Equities IU 0% 4% 23% 7% 4% 313M 2011-05-31
Threadneedle(Lux) USD S/T Bds IU 0% -10% -9% -10% -3% 5M 2011-05-31
THYADES Fund A EUR 4% 0% 3% 2% 2% - 2014-11-30
THYADES Fund B CHF 4% 0% 1% 1% 9% - 2014-11-30
THYADES Fund C GBP 4% 0% 3% 2% 6% - 2014-11-30
THYADES Fund D USD 4% 0% 3% 3% 3% - 2014-11-30

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