Luxembourg Funds performance table

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fund name 1 mth 3 mth 12 mth ytd Inception Net assets Return Datesort icon
AXA WF Frm Italy MC EUR -3% -7% 24% 6% 8% 548M 2014-07-31
Alger American Asset Growth I2 USD 0% 6% 22% 6% 23% 641M 2014-07-31
AXA WF US High Yield Bonds MC USD -1% 0% 8% 3% 7% 4295M 2014-07-31
Henderson Horizon Glbl Prpty Eqs I1 EUR 2% 8% 7% 13% 3% 794M 2014-07-31
AXA WF Euro Credit Plus MC EUR 0% 1% 9% 6% 5% 787M 2014-07-31
CS Idx Fd (Lux) Equities North Amer O $ -1% 3% 0% 5% 7% - 2014-07-31
Henderson Horizon Glbl Prpty Eqs I2 EURH 0% 4% 8% 9% 13% 794M 2014-07-31
Fidelity Global Focus I-Acc-EUR 1% 7% 11% 7% 11% 200M 2014-07-31
Gamax Funds Junior I 0% 5% 11% 3% 11% 133M 2014-07-31
AXA WF Euro Inflation Bonds MC EUR 0% 3% 5% 6% 3% 157M 2014-07-31
AXA WF Euro Credit Short Dur MC EUR 0% 0% 3% 1% 3% 1676M 2014-07-31
AXA WF Euro Bonds MC EUR 0% 2% 9% 7% 4% 173M 2014-07-31
MS INVF Euro Corporate Bond ZOX 0% 0% 5% 1% 4% 2443M 2014-07-31
JPM Gl Rel Est Sec (USD) I(acc)-USD 0% 5% 0% 11% 11% 175M 2014-07-31
Harris Associates US Equity Fd I/D USD -1% 5% 0% 5% 12% 249M 2014-07-31
LGT (Lux) I-BF EMMA Infl Linked (CHF) I1 1% 6% 5% 12% -1% 70M 2014-07-31
LGT (Lux) I Cat Bond Fund I USD 0% 0% 4% 1% 5% 695M 2014-07-31
SF (Lux) SICAV 3 Key Mu-Mng HF Fsd EUR I 0% 1% 5% 3% 5% 197M 2014-07-31
SF (Lux) SICAV 3 Key Mu-Mng HF Fsd CHF I 0% 0% 4% 2% 4% 110M 2014-07-31
SF (Lux) SICAV 3 Key Mu-Mng HF Fsd USD I 0% 1% 5% 3% 5% 8M 2014-07-31
UBS (Lux) BS Convt Glbl € CHF H I-A3-acc 0% 2% 15% 6% 15% 2895M 2014-07-31
Robeco Property Equities IH EUR 1% 5% 11% 11% 11% 257M 2014-07-31
OYSTER USD Bonds I USD 0% 1% 0% 4% 4% - 2014-07-31
MS INVF European Equity Alpha Z GBP C -2% -3% 0% -3% 2% 711M 2014-07-31
Moorea Fund UK Equity IG 0% -3% 0% -8% -7% 39M 2014-07-31
Parvest Equity Germany I -4% -2% 0% -2% 2% 141M 2014-07-31
MS INVF Diversified Alpha Plus ZH USD 0% -2% 2% 0% 11% 4295M 2014-07-31
MS INVF Emerging Leaders Equity ZH -3% 1% 2% 2% 2% 206M 2014-07-31
Prosper Stars & Stripes Fund I CHF -3% 3% 0% -5% -4% 47M 2014-07-31
MS INVF European Curr H/Y Bond ZX 0% 1% 11% 4% 8% 950M 2014-07-31

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