Ireland Funds performance table

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fund namesort icon 1 mth 3 mth 12 mth ytd Inception Net assets Return Date
GLG Global Opportunity Fund H 0% 0% 0% 1% 0% - 2013-04-30
GLG Global Opportunity Fund G Acc 0% -2% 1% -1% 3% - 2014-05-31
GLG Global Opportunity Fund E Acc 0% -2% 0% -1% 3% - 2014-05-31
GLG Global Opportunity Fund D Acc 0% -2% 1% -1% 4% - 2014-05-31
GLG Global Opportunity Fund C Acc 0% -2% 0% -1% 0% - 2014-05-31
GLG Global Opportunity Fund B Acc 0% -2% 0% -1% 1% - 2014-05-31
GLG Global Opportunity Fund A Acc 0% -2% 1% -1% 5% - 2014-05-31
GLG Global Investment Grade Bd I USD Acc 0% 2% 8% 5% 4% 22M 2014-06-30
GLG Global Equity I USD 2% 3% 18% 1% 0% 65M 2014-06-30
GLG Global Equity I H EUR 2% 3% 18% 2% 20% 47M 2014-06-30
GLG Global Equity Alternative IN H USD 0% -4% 0% -6% -7% 580M 2014-06-30
GLG Global Equity Alternative IN H NOK 0% -4% 0% -6% -4% 3560M 2014-06-30
GLG Global Equity Alternative IN H GBP 0% -4% 0% -6% -6% 339M 2014-06-30
GLG Global Equity Alternative IN EUR 0% -4% 0% -6% -7% 424M 2014-06-30
GLG Global Emerging Mkts Eq I H GBP Acc -7% -9% 0% -9% -2% 13M 2013-06-30
GLG Global Convertible UCITS IM USD 0% 0% 8% 2% 8% 403M 2014-06-30
GLG Global Convertible UCITS IM H GBP 0% 0% 8% 2% 8% 236M 2014-06-30
GLG Global Convertible Fund Class F 0% 0% 4% 0% 3% - 2014-06-30
GLG Global Convertible Fund Class D 0% 0% 5% 1% 5% - 2014-06-30
GLG Global Convertible Fund Class C 0% 0% 4% 0% 4% - 2014-06-30
GLG Global Convertible Fund Class B 0% 2% 5% 2% 4% - 2013-03-31
GLG Global Convertible Fund Class A 0% 0% 5% 1% 7% - 2014-06-30
GLG Global Conv UCITS IM H EUR 0% 0% 8% 2% 8% 294M 2014-06-30
GLG Global Conv UCITS IL USD 0% 0% 6% 2% 2% 403M 2014-06-30
GLG Global Conv UCITS IL H EUR 0% 0% 6% 2% 1% 294M 2014-06-30
GLG Frontier Markets Equity I H GBP Acc 0% 6% 5% 8% -4% 6M 2012-10-31
GLG Financials Alternative IN H USD 0% -3% -10% -7% 0% 44M 2014-06-30
GLG Financials Alternative IN H GBP Acc 0% -3% 0% -7% -6% 26M 2014-06-30
GLG Financials Alternative IN EUR 0% -3% -9% -7% 0% 32M 2014-06-30
GLG European Lng Shrt I QIF DN H USD Acc -3% -1% 2% -1% 3% 14M 2014-03-31

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