Luxembourg Funds performance table

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Funds home»domicile»Luxembourg
fund name 1 mth 3 mthsort icon 12 mth ytd Inception Net assets Return Date
STARS Flexibel I 1% 3% 0% 7% 10% 36M 2014-08-31
AXA WF Euro Bonds MC EUR 1% 3% 11% 9% 4% 184M 2014-08-31
Parvest Bond World Emerg P D 0% 3% 9% 8% 1% 447M 2014-07-31
ING (L) Invest US High Div I USD Acc 3% 3% 15% 9% 7% 1170M 2014-08-31
GS Glbl Fixed Income Port I Acc 1% 3% 7% 8% 5% 198M 2014-08-31
Allianz Euro Bond Strategy IT EUR 1% 3% 11% 9% 4% 202M 2014-08-31
SSgA Euro Core Treasury Bond Index B 1% 3% 9% 8% 4% 664M 2014-08-31
Pioneer Fds MltiAsst Rl Ret I EUR ND 2% 3% 8% 4% 9% 84M 2014-08-31
Nordea-1 Swedish Bond BI SEK 1% 3% 9% 8% 2% 1742M 2014-08-31
Franklin Euro Government Bond I QDis € 1% 3% 10% 8% 6% 107M 2014-08-31
HSBC GIF Euro Bond ZC 1% 3% 0% 0% 6% 177M 2014-08-31
BNPP L1 Lifecycle 2025 P 0% 3% 0% 2% 4% 16M 2014-04-30
ING (L) Invest US High Div I USD Inc 3% 3% 15% 9% 11% 1170M 2014-08-31
Pioneer Fds US Pioneer H EUR ND 0% 3% 27% 10% 1% 1195M 2012-09-30
Pictet EUR Bonds-HI CHF 1% 3% 10% 9% 2% 348M 2014-08-31
Degroof Global Reactive 10 Spring A Acc 1% 3% 6% 4% 2% 34M 2014-08-31
Nordea-1 European Corporate Bond X 0% 3% 7% 7% 0% 445M 2012-04-30
Fulcrum Alternative BetaPlus Daily C USD 2% 3% 12% 7% -2% 105M 2014-08-31
Fulcrum Alternative BetaPlus Daily C EUR 2% 3% 12% 7% -1% 80M 2014-08-31
Investec GSF Emerg Mkts LC DynDbt I£ Acc 1% 3% 13% 7% 7% 767M 2013-04-30
UBAM Turkish Equity IP 0% 3% 27% 29% 3% 21M 2014-08-31
db x-trackers FTSE E/N Dev Eurp RE(DR)1C 2% 3% 28% 17% 12% 194M 2014-08-31
Abs Asia AM Pacific Rim Eq I/A USD 0% 3% 14% 9% 9% 246M 2014-08-31
KBC Life Inv Warta Gwarancja 4 1% 3% 9% 3% 4% 4M 2013-03-31
Vitruvius Asian Equity BI EUR 0% 3% 14% 2% 7% 63M 2014-08-31
Eastspring Inv Asian Bond D USD Acc 2% 3% 4% 5% 7% 2170M 2014-05-31
Mul-Str Portf Kronos MSP Balanced I 2% 3% 12% 8% 3% 855M 2014-08-31
Mul-Str Portf Kronos MSP Balanced I€Inc 2% 3% 0% 8% 11% 855M 2014-08-31
Permal (LUX) Natural Resources EUR A 2% 3% 2% 4% 1% 71M 2014-08-31
Pioneer Fds Glbl Aggregate Bd I EUR ND 1% 3% 5% 8% 6% 702M 2014-08-31

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