Luxembourg Funds performance table

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fund name 1 mth 3 mth 12 mth ytd Inception Net assets Return Datesort icon
GS Glbl Sm Cap Core Eq E Snap -4% -13% 1% -13% -7% 83M 2011-09-30
GS Glbl Sm Cap Core Eq A Snap -11% -19% 0% -13% -7% 115M 2011-09-30
BNPP L1 Equity Netherlands New -4% -17% -15% -20% -9% 452M 2011-09-30
BGF New Energy D2 EUR -7% -17% -21% -23% -9% 1348M 2011-09-30
BGF Pacific Equity D2 EUR -5% -13% -10% -21% 10% 107M 2011-09-30
BGF Pacific Equity D2 USD -11% -19% -12% -20% 17% 143M 2011-09-30
BGF US Flexible Equity Hedged D2 EUR -9% -19% -3% -10% -4% 918M 2011-09-30
BGF World Gold D2 EUR -11% 2% -3% -14% 8% 4295M 2011-09-30
SEB Global Equity Long/Short SEK I -3% -7% -2% -5% 0% 801M 2011-09-30
JPM Euroland Select Eq D (acc)-EUR -6% -23% -17% -21% -13% 53M 2011-09-30
BGF World Energy D2 EUR -9% -19% -5% -22% -1% 3181M 2011-09-30
Harris Associates Glob Value Fd R/D USD -9% -18% -6% -16% -7% 395M 2011-09-30
AZ Fd1 Conservative - Azimut B -1% -4% -3% -4% 0% 303M 2011-09-30
AXA WF Frm Hybrid Resources EC EUR -11% -14% -5% -21% -5% 93M 2011-09-30
BNPP L1 Safe Conservative W10 Fintro 0% -1% -1% -1% 0% 20M 2011-09-30
BNPP L1 Safe High Growth W10 Fintro -7% -16% -8% -15% -4% 2M 2011-09-30
BGF Global Dynamic Equity Hedged A2 EUR -9% -15% -6% -13% -4% 775M 2011-09-30
Deka-WorldGarant 8/2012 0% 0% 0% 0% 0% - 2011-09-30
Oyster US Dynamic USD -8% -16% -3% -13% -10% 4M 2011-09-30
Harris Associates US LC Val Fd R/A GBP -4% -14% -3% -13% 2% 41M 2011-09-30
Cap Int All Country Equity Ch CHF -4% 0% 0% 0% -12% 110M 2011-09-30
BNY Mellon Co Fd Glbl EM Mkts RF-A -15% -24% -20% -25% -8% 31M 2011-09-30
Atomo Sicav Dinamis Trend I EUR Acc 1% 0% 0% -3% -2% 5M 2011-09-30
JPM Global Govt Shrt-Dur Bd X Dist-GBPH 0% 0% 0% 0% 0% 43M 2011-09-30
Falcon Multihedge Diversified I USD 0% -5% -5% -6% 0% 84M 2011-10-31
HDF Xiphias International Class A EUR 0% -1% -2% -3% 0% - 2011-10-31
ALTIMUM Financial & Commodity -6% -6% -6% -11% 0% - 2011-10-31
JB Multiflex Perfin Infinity Brazil L/S 0% -3% -16% -17% -9% - 2011-10-31
HDF Xiphias International Class A USD 0% -2% -2% -4% 0% - 2011-10-31
HDF Xiphias International Class C EUR 0% -1% -2% -4% 0% - 2011-10-31

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