Netherlands Funds performance table

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Funds home»domicile»Netherlands
fund namesort icon 1 mth 3 mth 12 mth ytd Inception Net assets Return Date
RBS RICI Enhcd Brent Crde Oil TR Idx ETC -10% -30% -30% -30% -3% 83M 2014-12-31
RBS RICI Enhcd Grains & Oilseeds Idx ETC 3% 15% 1% 1% 2% 6M 2014-12-31
RBS RICI Enhcd Industrial Metals Idx ETC -1% -2% 5% 5% -3% 4M 2014-12-31
RBS RICI Enhcd Natural Gas TR Index ETC -16% -20% -15% -15% -18% 3M 2014-12-31
RBS RICI Enhcd WTI Crude Oil TR Idx ETC -10% -31% -26% -26% -7% 86M 2014-12-31
RBS S&P GSCI Brent Crude OfCl Idx TR ETC 1% 1% 7% 0% 7% 13M 2014-04-30
RBS S&P GSCI Crude Oil OfCl Index TR ETC 2% 5% 7% 6% -3% 9M 2014-04-30
RBS S&P GSCI Natural Gas OfCl Idx TR ETC 3% -3% -2% 16% -18% 3M 2014-04-30
Robeco Institutional Conservative Equity 1% 7% 26% 26% 6% 383M 2014-12-31
Robeco Institutional Global Equity I 4% 16% -1% 8% 0% - 2012-02-29
Robeco Instl Emerging Markets Quant -2% -1% 10% 10% 3% 621M 2014-12-31
Robeco Instl Global enhanced index 1% 5% 21% 21% 7% 117M 2014-12-31
Robeco Instl Lblty Drv EurCor Govt Bd 40 6% 18% 74% 74% 29% 908M 2014-12-31
Robeco Multi Market Bond dec 03-11 EUR 0% -2% -5% -8% 0% - 2011-11-30
Robeco Multi Market Bond feb 04-12 EUR 0% 1% -3% 0% 0% - 2012-01-31
Robeco Multi Market Bond jul 03-13 EUR 0% 3% 1% 4% 0% - 2012-07-31
RVS Aandelenfonds -5% -19% -16% -21% 0% 528M 2011-09-30
RVS Clickzeker Fonds 0% 0% -1% -1% 2% - 2011-09-30
RVS Europa Fonds -5% -17% -10% -16% 1% 20M 2011-09-30
RVS Mixfonds -1% -3% -1% -4% 3% 56M 2011-09-30
RVS Obligatiefonds 0% 2% 0% 3% 0% 12M 2011-09-30
Saemor Europe Alpha A 3% 6% 25% 25% 6% 608M 2014-12-31
Saemor Europe Alpha B 3% 7% 27% 27% 5% 608M 2014-12-31
SAM Biofuel Certificate 0% -14% -3% -8% -11% - 2011-09-30
Sinano Alpha Fund Class C EUR -1% -1% 0% 0% -1% - 2011-08-31
Sinano Alpha Fund Class C SEK -1% 0% 0% 0% 0% - 2011-08-31
Sinano Div Managed Futures Fund Class C 2% 15% -3% -3% 0% - 2011-09-30
Sinano Div Managed Futures Fund Class I 2% 16% -2% -3% -3% - 2011-09-30
Synthes Fund 0% -9% -17% -17% 7% - 2014-12-31
Theta Deep Value fund -1% 0% -15% 3% 3% - 2012-04-30

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