Ireland Funds performance table

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fund name 1 mth 3 mth 12 mth ytdsort icon Inception Net assets Return Date
Act II Offshore Ltd 2% 1% 11% 11% 8% - 2013-12-31
Oasis Crescent Glbl Property Eq B $ Inc 0% 4% 15% 11% 22% 102M 2014-07-31
Allianz US Equity WT EUR 2% 9% 17% 11% 8% 374M 2014-07-31
Source Mstar US Enrgy Infra MLP ETF B -3% 6% 16% 11% 13% 180M 2014-07-31
Source Mstar US Enrgy Infra MLP ETF A -3% 6% 15% 11% 13% 180M 2014-07-31
GAM Star US All Cap Equity Instl EUR Acc 0% 8% 20% 11% 13% 795M 2014-07-31
iShares MSCI Canada 0% 6% 19% 11% 7% 457M 2014-07-31
Wellington Emerg Mkts Lcl Eq CAD S Acc 3% 7% 19% 11% 6% 568M 2014-07-31
iShares EURO STOXX Tot Mrkt Grw Lrg 4% 2% 23% 11% 2% 65M 2013-07-31
iShares EURO Total Market Growth Large 4% 2% 23% 11% 3% 65M 2013-07-31
BNY Mellon Emerg Mkts Dbt C EUR Acc 1% 7% 7% 11% 6% 318M 2014-07-31
Polar Capital Funds - Global Tech USD 2% -1% 11% 11% 0% 538M 2012-12-31
Vanguard Pacific Ex-Jap Stk Idx Ins USD 3% 5% 19% 11% 9% 1573M 2014-07-31
Boost Gold 2X Leverage Daily ETP -6% -2% -9% 11% 5% 6M 2014-07-31
iShares EURO Dividend -3% 0% 24% 11% 2% 618M 2014-07-31
iShares FTSE UK Dividend Plus (IE) 2% 6% 22% 11% 2% 591M 2013-04-30
GAM Star North of South EM Eq $Inst Acc 1% 10% 24% 11% 5% 218M 2014-07-31
FinEx MSCI Australia ETF 2% 3% 0% 11% 2% - 2014-07-31
HSBC MSCI Taiwan ETF 0% 8% 18% 11% 4% 3M 2014-07-31
iShares Core MSCI Pacific ex Japan (Acc) 3% 5% 18% 11% 7% 94M 2014-07-31
iShares MSCI World (DE) 3% 5% 16% 11% 4% 4295M 2013-04-30
First State Asia Pacific Select III 3% 7% 11% 11% 9% 10M 2014-07-31
First Norway Delta Kl.IV (LAMP) 3% -2% -4% 11% -5% 1519M 2012-07-31
HSBC MSCI Pacific ex Japan ETF 3% 5% 18% 11% 10% 167M 2014-07-31
iShares MSCI Taiwan 0% 8% 18% 11% 7% 425M 2014-07-31
PowerShares Global Clean Energy ETF -4% 4% 22% 11% -10% 10M 2014-07-31
Cheyne Convertibles Absolute Return I3 £ 1% 3% 14% 11% 7% 69M 2013-10-31
PIMCO GIS EM Fdmtl Idx StkPLUS Ins $ Inc 1% 11% 0% 11% 19% 97M 2014-07-31
PIMCO GIS EM Fdmtl Idx StkPLUS Ins $ Acc 1% 11% 0% 11% 19% 97M 2014-07-31
Principal Global Property Secs I GBP Hdg 1% 5% 12% 11% 0% 41M 2014-07-31

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