Luxembourg Funds performance table

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fund namesort icon 1 mth 3 mth 12 mth ytd Inception Net assets Return Date
OYSTER MULTI-STRGY ALTERNATIVE GBP CL.B 0% 1% 13% 3% 1% 146M 2014-06-30
OYSTER MULTI-STRGY ALTERNATIVE USD CL.A 0% 1% 4% 1% 0% 139M 2014-06-30
OYSTER MULTI-STRGY ALTERNATIVE USD CL.B 0% 1% 4% -1% 0% 139M 2014-06-30
Oyster US Dynamic USD -8% -16% -3% -13% -10% 4M 2011-09-30
OYSTER US Selection I SGD2 4% 8% 0% 23% 24% - 2013-09-30
OYSTER US Selection I USD2 3% 2% 0% 5% 15% - 2014-06-30
OYSTER US Selection J USD2 3% 2% 24% 5% 23% - 2014-06-30
OYSTER US Value I USD2 3% 3% 0% 4% 14% 91M 2014-06-30
OYSTER US Value R USD2 1% 2% 16% 1% 12% 90M 2014-05-31
Oyster US Value USD 2 0% 0% 0% -8% 5% 123M 2011-11-30
OYSTER USD Bonds I USD 0% 2% 0% 4% 4% - 2014-06-30
OYSTER World Opportunities R EUR 2% 2% 13% 4% 10% 110M 2014-05-31
OYSTER World Opportunities Z EUR 2% 6% 0% 0% 5% 108M 2014-06-30
Paerel Alternative IC 1% -4% -8% -9% 0% - 2011-10-31
PAF-Global-R USD 0% 1% 11% 1% 5% 24M 2014-06-30
PAF-Mosaic Euro R EUR 0% 1% 4% 0% 0% - 2014-06-30
PAF-Mosaic Euro-HR-GBP 0% 1% 4% 0% 0% 430M 2014-06-30
PAF-Pleiad Credit Opportunities-HR CHF 0% 1% 7% 3% 0% - 2014-05-31
PAF-Pleiad Credit Opportunities-HR EUR 0% 1% 7% 3% 0% - 2014-05-31
PAF-Pleiad Credit Opportunities-OP CHF 0% 2% 4% 2% 2% 637M 2014-03-31
PAF-Pleiad Credit Opportunities-OP EUR 0% 2% 6% 2% 3% 524M 2014-03-31
PAF-Pleiad Credit Opportunities-R USD 0% 1% 7% 3% 3% 755M 2014-05-31
PAF-Pleiad-HI-GBP 0% 1% 5% 1% 1% 498M 2014-06-30
PAF-Pleiad-HP-GBP -1% 0% 5% 3% 0% 491M 2013-06-30
PAF-Pleiad-HR-GBP -1% 0% 4% 2% 0% 491M 2013-06-30
PAF-World Equity Hedge-HR-CHF 0% 0% 10% 0% 1% - 2014-06-30
PAF-World Equity Hedge-HR-EUR 0% 0% 10% 0% 2% 438M 2014-06-30
PAF-World Equity Hedge-R USD 0% 0% 10% 0% 3% - 2014-06-30
Palaedino Divers Cmdty Idx A restricted 1% 2% 0% 3% -3% 10M 2014-06-30
Palaedino Divers Cmdty Idx B ordinary 0% 2% 0% 3% -3% 10M 2014-06-30

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