Luxembourg Funds performance table

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Funds home»domicile»Luxembourg
fund name 1 mth 3 mth 12 mthsort icon ytd Inception Net assets Return Date
Cosmopolitan Global Fund 0% 2% 4% 7% 12% - 2015-07-31
Nordea Ded Inv MM Conservative HBI GBP 0% 0% 4% 2% 0% 48M 2013-08-31
MLIS CCI HlthC L/S Ucits EUR B Acc -4% -4% 4% 0% 6% 489M 2015-08-31
DB Platinum CROCI Branchen Stars I1 Acc 1% -4% 4% 1% 8% 64M 2015-07-31
Generali Hedge Fds L/S Equity Europe R 0% 1% 4% 4% 0% 55M 2012-12-31
db x-trackers II Global Sov 1C (EUR hdg) 1% 0% 4% 0% 4% 507M 2015-07-31
Exane Funds 1 Exane Archimedes Fd C EUR 0% 0% 4% 0% 6% - 2012-03-31
UBS (Lux) IF Euro Bonds BA 1% -1% 4% 0% 4% 211M 2015-07-31
Polaris Short Term Bond 5 I 0% 1% 4% 3% 3% - 2012-10-31
db x-trackers II Global Sov 1D (EUR hdg) 1% 0% 4% 0% 3% 483M 2015-07-31
AB SICAV RMB Income Plus S1 CNH/CNY 0% 0% 4% 3% 4% 3893M 2015-07-31
HSBC ISF MultiAlpha Sterling Bd X Inc 0% 2% 4% 2% 7% 106M 2014-02-28
CS (Lux) USA Equity EB USD -5% -2% 4% 2% 14% 451M 2015-08-31
SEB Hedge HNW H-SEK 1% 0% 4% 3% 1% - 2013-09-30
RWC Global Convertibles Fund B USD 0% 1% 4% 6% 3% 1006M 2012-10-31
UBS ETF (LU) Markit iBoxx € Germ 5-10 1% 0% 4% 0% 4% 11M 2015-07-31
UBS ETF (LU) MSCI Swtzl 20/35 hedged SGD -4% -2% 4% 0% 4% 8M 2015-06-30
BlueBay Invmt Grd Euro AggtBd I EUR(AID) 1% -2% 4% 0% 4% 1276M 2015-07-31
Investec GSF Glbl Str Eq C Inc Grs USD 0% -2% 4% 5% 5% 1626M 2015-07-31
UBS GS Yield CH BIS CHF 0% 2% 4% 4% 0% 91M 2012-08-31
Aviva Investors Glbl Convert I € Hdg Acc 0% -1% 4% 3% 3% 1506M 2015-07-31
JPM Global Balanced D (acc)-EUR 0% 2% 4% 0% 3% 949M 2014-04-30
AB European Income S1 EUR Acc 1% 0% 4% 2% 6% 2138M 2015-07-31
Pictet-Timber I USD -1% -1% 4% -1% 6% 479M 2015-07-31
KBC Life Invest Sec Quality Stocks 14 0% 0% 4% 0% 5% 3M 2015-07-31
LIS CA Indosuez Bonds IA 0% 0% 4% 4% 3% - 2014-11-30
Robeco Flex-o-Rente IH EUR 0% 1% 4% 1% 1% 191M 2015-07-31
JPMorgan Greater China C (acc)-USD -1% 0% 4% -4% 11% 1345M 2014-04-30
CS SICAV (Lux) Eq S&M Cap Global EMMA I 1% 6% 4% 5% 5% 48M 2014-05-31
SEB Hedge ID H-SEK 1% 0% 4% 3% 1% - 2013-09-30

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