Luxembourg Funds performance table

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fund name 1 mthsort icon 3 mth 12 mth ytd Inception Net assets Return Date
IW Alternative SIF-Commodities P EUR Acc -6% 22% -4% 22% -31% 14M 2015-03-31
DB Platinum IV Instl Fix Inc I2D -6% 8% 135% 28% 33% 820M 2015-04-30
Templeton BRIC I Acc €-H1 -6% -11% -17% -23% -10% 1601M 2011-11-30
BNPP L1 Green Future N -6% -17% -15% -22% 0% 62M 2011-09-30
Cohen & Steers AsiaPac Real Est Sec I -6% -10% -15% -19% -10% 17M 2011-11-30
Cohen & Steers AsiaPac Real Est Sec IX -6% -10% -15% -19% -9% 17M 2011-11-30
Kotak India Mid Cap I EUR Acc -6% -1% 85% 11% 9% 202M 2015-04-30
DWS Invest European Value FC -6% -10% -14% -5% 1% 207M 2012-05-31
Parvest Equity China I -6% -5% 6% -12% -8% 436M 2013-06-30
UBS (Lux) EF Australia (AUD) I-X Acc -6% -1% 0% 4% 3% 475M 2012-05-31
JB Multiflex Peak Cap Real Assets EUR C1 -6% -14% 0% -23% -37% 28M 2012-06-30
JPM Euroland Select Eq D (acc)-EUR -6% -23% -17% -21% -13% 53M 2011-09-30
DWS Invest Global ex Japan (USD) E2 -6% -2% 15% 2% 0% 1M 2013-06-30
UBS ETF MSCI Japan I -6% 2% 31% -6% 0% 4295M 2014-01-31
Turkisfund Bonds I -6% -12% 5% -6% 11% - 2015-04-30
NN (L) Global Real Estate I Cap EUR -6% -2% 33% 9% 5% 278M 2015-04-30
UBS (Lux) EF Canada (CAD) I-X Acc -6% -9% 0% -3% -4% 155M 2012-05-31
JPMorgan India I USD Acc -6% -7% 22% 1% 23% 1479M 2015-04-30
JPMorgan India I USD Inc -6% -7% 22% 1% 21% 1479M 2015-04-30
DWS Invest European Equities FC -6% -7% -16% 3% 7% 249M 2012-05-31
db x-trackers STOXX Eur 600 InsurShrt 1C -6% -7% -32% -16% -18% - 2013-07-31
Parvest Equity India I -6% -6% 25% 2% 9% 1341M 2015-04-30
Pictet-India Index I USD -6% -8% 13% -1% 0% 76M 2015-04-30
ComStage ETF FTSE All-Share TR -6% -3% 15% 6% 8% 2M 2013-06-30
Vontobel Belvista Commodity S USD -6% -15% -18% -18% -11% 436M 2014-12-31
UBS ETF MSCI Emerging Markets I -6% -9% -10% -6% -3% 308M 2014-01-31
JPMorgan India X USD Acc -6% -7% 23% 1% 13% 1479M 2015-04-30
SEB Asset Selection Opp IC -6% -2% 47% 11% 7% 257M 2015-04-30
ALTIMUM Financial & Commodity -6% -6% -6% -11% 0% - 2011-10-31
SEB Asset Selection Opp ID H-SEK -6% -2% 46% 11% 8% 2376M 2015-04-30

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