Luxembourg Funds performance table

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Funds home»domicile»Luxembourg
fund namesort icon 1 mth 3 mth 12 mth ytd Inception Net assets Return Date
RobusGermanCreditOpportunities SubFd A2 0% 3% 8% 4% 7% - 2014-06-30
RobusGermanCreditOpportunities SubFd A2I 0% 3% 8% 4% 0% - 2014-06-30
RobusGermanCreditOpportunities SubFd A2S 0% 3% 9% 4% 8% - 2014-06-30
Rossini Azionario Euro I 0% 2% 25% 5% 0% 15M 2014-06-30
Rossini Azionario Giappone I 4% 8% 0% 0% 2% 3M 2014-06-30
Rossini Azionario Internazionale I 1% 5% 17% 6% 6% 9M 2014-06-30
Rossini Azionario Nord America I 1% 5% 15% 6% 8% 6M 2014-06-30
Rossini Lux Fund Euro Monetario I 0% 0% 0% 0% 2% 27M 2014-06-30
Rossini Obblig Dollari I 0% 2% -3% 3% 5% 5M 2014-06-30
Rossini Obblig Euro Breve Termine I 0% 0% 3% 1% 3% 17M 2014-06-30
Rossini Obblig Euro Lungo Termine I 1% 4% 13% 10% 6% 8M 2014-06-30
Rossini Obblig Euro Medio Termine I 0% 1% 6% 4% 4% 10M 2014-06-30
Rossini Obblig Monetario TV I 0% 0% 5% 2% 2% 57M 2014-06-30
Rovere Azionario Europa IC -1% 0% 17% 1% 17% 40M 2014-06-30
Rovere Azionario Internazionale IC 0% 3% 17% 5% 17% 27M 2014-06-30
Rovere Azionario Nord America IC 1% 6% 19% 9% 17% 37M 2014-06-30
Rovere Bilanciato Obbligazionario IC 0% 2% 7% 3% 2% 45M 2014-06-30
Rovere Bilanciato Paesi Emergenti I 1% 6% 8% 6% 3% 17M 2014-06-30
Rovere Flessibile Attivo IC 1% 2% -2% 1% 0% 19M 2012-01-31
Rovere Obbligazionario IC 0% 1% 3% 2% 3% 65M 2014-06-30
RPM FCP RPM Directional I EUR -4% -6% -14% -4% -10% 2M 2013-07-31
Ruffer SICAV Total Return Intl C CHF Acc 0% 0% 0% 0% 3% 1355M 2014-06-30
Ruffer SICAV Total Return Intl C EUR Acc 0% 0% 0% 0% 3% 1116M 2014-06-30
Ruffer SICAV Total Return Intl C GBP Inc 0% 0% 0% 0% 4% 894M 2014-06-30
Ruffer SICAV Total Return Intl C USD Acc 0% 0% 0% 0% 3% 1528M 2014-06-30
Ruffer SICAV Total Return Intl I CHF Acc 0% 0% 0% 0% 3% 1355M 2014-06-30
Ruffer SICAV Total Return Intl I GBP Acc 0% 0% 0% 0% 4% 894M 2014-06-30
RVF - RBZ Emerging Market Bonds 1A 0% 3% 6% 4% 0% 91M 2014-06-30
RVF - RBZ Emerging Market Bonds 1D 0% 3% 6% 4% 0% 91M 2014-06-30
RWC Asia Convertibles Fund B EUR 0% 2% 5% 8% -1% 21M 2012-10-31

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