Ireland Funds performance table

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fund name 1 mth 3 mth 12 mth ytd Inceptionsort icon Net assets Return Date
Janus High Yield I EUR Acc Hedged -2% -2% 7% 3% 7% 739M 2014-09-30
PIMCO GIS Global Bond Ins ILS Hdg Acc 0% 1% 7% 6% 7% 4295M 2014-09-30
PIMCO GIS Glbl Real Ret Inv EUR Hdg Inc 1% 3% 0% 6% 7% 2563M 2014-05-31
Wellington Oppoc Emerg Mkt Dbt SEK S H -2% -2% 8% 7% 7% 4295M 2014-09-30
Argo Pan European Alpha I EUR Acc 3% 0% 25% 9% 7% 147M 2014-05-31
Janus US Venture I EUR Acc Hedged -3% -4% 3% -1% 7% 178M 2014-09-30
GLG Global Conv UCITS IM H EUR -2% -2% 1% 0% 7% 234M 2014-09-30
PIMCO GIS Global Hi Yld Bd Ins EUR Hdg I -2% -1% 6% 2% 7% 3392M 2014-09-30
PIMCO GIS Diversified Inc Inst € Hdg Acc -2% -1% 6% 5% 7% 4295M 2014-09-30
KBI Instl Agri C EUR Acc -3% -1% 8% 6% 7% - 2014-09-30
Babson Capital Global Loan N USD Acc 0% 0% 3% 2% 7% 4295M 2014-09-30
HSBC FTSE EPRA/NAREIT Developed ETF -6% -4% 5% 6% 7% 29M 2014-09-30
INTECH US Core I USD Inc -1% 1% 19% 7% 7% 157M 2014-09-30
Wellington US Cptl Apprec Eq USD S Acc -4% -4% 10% 2% 7% 129M 2014-09-30
Brandes European Equities I £ -3% -5% 4% 0% 7% 139M 2014-09-30
PIA Ser B M&G Growth Portfolio -6% -14% -3% -14% 7% 1M 2011-09-30
Source STOXX Europe 600 Opt BasicRes ETF -4% 0% 7% 5% 7% 119M 2014-09-30
PIMCO GIS Diversified Inc Inst USD -1% -1% 6% 5% 7% 4295M 2014-09-30
UBS ETFs plc-MSCI AC AsaExJpn SF $A-acc -5% -1% 7% 3% 7% 91M 2014-09-30
KBI Instl Agri F EUR Acc -3% -1% 7% 6% 7% - 2014-09-30
KBI Instl GESS A EUR -2% 0% 13% 5% 7% - 2014-09-30
GLG Global Convertible Fund Class A -1% -1% 0% 0% 7% - 2014-09-30
PIMCO GIS Gl Inv Grd Crdt H Ins 0% 0% 6% 5% 7% 4295M 2014-09-30
Janus Global Life Sciences I USD 0% 7% 34% 22% 7% 371M 2014-09-30
iShares MSCI UK -2% -1% 5% 0% 7% 109M 2014-09-30
PIMCO GIS Glbl Real Ret Inv GBP Hdg Inc 1% 3% 0% 6% 7% 2105M 2014-05-31
PIMCO GIS Hi Yield Bd Inv EUR Hdg Acc 2% 2% 7% 4% 7% 1703M 2013-10-31
Barclays Capital Radar E GBP 0% 0% 2% 3% 7% 3M 2013-06-30
Muzinich Credithedge Master Fund 0% 0% 5% 2% 7% 1200M 2014-09-30
Loomis Sayles Glob Opp Bd Fd S/D USD -2% -3% 1% 1% 7% 199M 2014-09-30

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