Ireland Funds performance table

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fund name 1 mth 3 mth 12 mth ytd Inceptionsort icon Net assets Return Date
GAM Star Credit Opp (EUR) Instl EUR Acc 1% 4% 20% 9% 16% 330M 2014-06-30
KBI Instl Div Pls Global H EUR Acc 1% 6% 18% 8% 16% - 2014-06-30
Oasis Crescent Global Equity B USD Inc 0% 2% 21% 5% 16% 212M 2014-06-30
SPDR MSCI EMU ETF 0% 3% 26% 5% 16% 221M 2014-06-30
Cullen NA Hi Div Val Eq € Instl J Hdg 1% 5% 17% 7% 16% 590M 2014-06-30
iShares S&P 500 GBP Hedged 1% 5% 23% 6% 16% 80M 2014-06-30
Loomis Sayles High Income Fd I/A USD 1% 4% 15% 7% 16% 472M 2014-06-30
Boost Silver 3x Short Daily ETP -31% -21% -51% -31% 16% 2M 2014-06-30
iShares MSCI Europe ex-EMU 0% 0% 16% 8% 16% 18M 2013-08-31
Old Mutual US Large Cap Value I 3% 5% 28% 28% 16% 70M 2013-10-31
iShares MSCI USA Large Cap 1% 5% 23% 6% 16% 64M 2014-06-30
KBI Instl Water I EUR 1% 5% 22% 7% 16% - 2014-06-30
Source STOXX Europe 600 Opt FinServc ETF 0% 5% 32% 4% 16% 9M 2014-06-30
Source MSCI World ETF 1% 4% 23% 6% 16% 848M 2014-06-30
iShares MSCI Pacific ex-Japan (Inc) 0% 4% 18% 7% 16% 490M 2014-06-30
Source Indstrls S&P US SelSec Source ETF 0% 3% 27% 3% 16% 103M 2014-06-30
KBI Instl Water C EUR 1% 5% 24% 8% 16% 77M 2014-06-30
Absolute Insight Credit B2p GBP 0% 2% 10% 4% 16% 527M 2014-05-31
Legg Mason CB US Appreciation F Acc $ 1% 3% 19% 4% 16% 352M 2014-06-30
SPDR S&P Glbl Dividend Aristocrats ETF 1% 6% 24% 9% 16% 59M 2014-06-30
Old Mutual Healthcare I 0% 3% 28% 28% 16% 22M 2013-08-31
Fisher Invts Instl US Sm&Md-Cp Val Eq $ 2% 1% 20% 4% 16% 118M 2014-06-30
GAM Star Technology Inst USD Acc 5% 1% 32% 0% 16% 873M 2014-06-30
Legg Mason CB US Apprec Prem Inc (A) $ 1% 3% 20% 5% 16% 352M 2014-06-30
Neuberger Berman Glb Disc Gr JPY Instl 1% 1% 21% 0% 16% - 2014-06-30
Brookfield Glbl Listed RE UCITS € IAcc B 0% -1% 1% 1% 16% 62M 2013-12-31
iShares S&P 500 EUR Hedged 2% 5% 23% 6% 16% 669M 2014-06-30
iShares Core S&P 500 ETF 2% 5% 24% 6% 16% 2944M 2014-06-30
SPDR S&P 500 Low Volatility ETF 2% 5% 16% 8% 16% 53M 2014-06-30
Legg Mason Royce US Sm Cp Opp Prem Acc € 3% 0% 18% 3% 16% - 2014-06-30

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