Luxembourg Funds performance table

help icon
Funds home»domicile»Luxembourg
fund name 1 mth 3 mthsort icon 12 mth ytd Inception Net assets Return Date
BNPP L1 Safe High Growth W10 Fintro -7% -16% -8% -15% -4% 2M 2011-09-30
IRIS SICAV FIS TRE True Energy 0% -16% -18% -18% 0% 13M 2014-12-31
Market Acce III RICI Enh Cm Id IC1 EUR -4% -16% -20% -4% -1% 11M 2015-01-31
Sparinvest SICAV HY Value Bonds EUR UKI -10% -16% -15% -15% 5% 320M 2014-12-31
Melchior ST Resources I1 € -7% -16% 33% 2% -1% 2M 2010-07-31
Amundi Fds Eq Japan CoreAlpha IJ-C -11% -16% -23% -7% -12% 4295M 2012-05-31
Amundi Fds Eq Japan CoreAlpha IJ-D -11% -16% -23% -7% -11% 4295M 2012-05-31
Manulife GF Taiwan Equity AA -11% -16% 0% -13% 3% - 2011-09-30
VAM Commodities Equity E$ Inc -9% -16% -6% -7% -8% - 2014-10-31
OYSTER Multi Strategy Alternative USD C -6% -16% -22% -21% -10% - 2008-10-31
Amundi Fds Eq Brazil IU-C 2% -16% -13% -5% -5% 47M 2015-02-28
Standard Life SICAV Global Eqs Uncons D -4% -16% -19% -4% -14% 0M 2012-01-31
UBS (Lux) EF Emerg Mkts USD I-X Acc -13% -16% 0% -1% -5% 1220M 2012-05-31
Schroder AS Commodity I CAD Hdg 4% -15% -30% -3% -2% 1588M 2015-02-28
Schroder AS Commodity I EUR Hdg 4% -15% -30% -3% 0% 1134M 2015-02-28
Eastspring Inv Latin American Equity D 2% -15% -13% -5% -12% 299M 2015-02-28
Eastspring Inv Latin American Equity E 2% -15% -13% -5% -8% 299M 2015-02-28
Schroder AS Commodity J USD 4% -15% -30% -3% 0% 1272M 2015-02-28
Schroder AS Commodity I JPY Hdg 4% -15% -30% -3% -5% 4295M 2015-02-28
Schroder AS Commodity I USD 4% -15% -30% -3% 0% 1272M 2015-02-28
Schroder AS Commodity X 4% -15% -30% -3% -5% 1272M 2015-02-28
Schroder AS Commodity I USD Inc 4% -15% -30% -3% -5% 1272M 2015-02-28
Schroder AS Commodity I GBP Hdg 4% -15% -30% -3% -1% 823M 2015-02-28
Sparinvest SICAV Eth HY Val Bnd SEK ID 0% -15% -21% -4% -4% 349M 2015-02-28
Standard Life SICAV Global Eqs Uncons Z -4% -15% -18% -4% -13% 0M 2012-01-31
Sparinvest SICAV Eth HY Val Bnd SEK I 0% -15% -20% -4% -7% 349M 2015-02-28
BGF Global Dynamic Equity USD C2 -9% -15% -7% -13% 0% 1039M 2011-09-30
Sparinvest SICAV Eth HY Val Bnd EUR I 0% -15% -20% -4% 4% 37M 2015-02-28
Sturgeon Central Asia Equities Fd EUR R -2% -15% -4% -4% -8% - 2014-12-31
Sparinvest SICAV Eth HY Val Bnd EUR ID 0% -15% -20% -4% -3% 37M 2015-02-28

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