Ireland Funds performance table

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fund name 1 mth 3 mthsort icon 12 mth ytd Inception Net assets Return Date
BNY Mellon Euro Govt Bd Idx Tr C EUR 3% 5% 6% 5% 3% 0M 2013-11-30
MW GaveKal Asian Opps (UCITS) A USD 5% 5% 5% 6% 4% 565M 2012-09-30
Delaware Inv US Lg Cp Gr C GBP 1% 5% 15% 6% 15% 0M 2014-09-30
PIMCO GIS EqS Pathfinder Euro Ins EUR 0% 5% 17% 10% 5% 34M 2012-09-30
BNY Mellon Global Equity C EUR 2% 5% 16% 12% 4% 282M 2014-09-30
Vanguard Japan Stock Idx Inst EUR 3% 5% 7% 7% -1% 1389M 2014-09-30
iShares S&P 500 Monthly EUR Hedged 4% 5% 23% 18% 0% 690M 2013-07-31
PIMCO GIS Glbl InvGrdCdtIntl€ CcyExpsAcc 1% 5% 11% 12% 1% 4295M 2014-09-30
BNY Mellon Global Opportunities C EUR 1% 5% 17% 12% 5% 76M 2014-09-30
Anima Global Equity I 1% 5% 16% 11% 13% 16M 2014-09-30
Vanguard SRI Global Stock Instl EUR 1% 5% 19% 12% 10% 728M 2014-09-30
iShares MSCI World (DE) 3% 5% 16% 11% 4% 4295M 2013-04-30
Crown Managed Futures Class F (EUR) 2% 5% 15% 8% 0% 615M 2014-09-30
PIMCO GIS Glb Advtg Real Ret Inv£Hdg Inc 2% 5% -2% 7% 1% 459M 2014-05-31
Source STOXX Europe 600 Opt Insur ETF 2% 5% 22% 8% 18% 121M 2014-09-30
BNY Mellon Global High Yld Bd C EUR 2% 5% 14% 12% 6% 181M 2014-09-30
Crown Managed Futures Class G (CHF) 2% 5% 14% 7% 0% 615M 2014-09-30
GAM Star Technology Instl EUR Acc 1% 5% 18% 6% 22% 691M 2014-09-30
iShares MSCI Japan Acc 4% 5% 11% 2% 0% 4295M 2014-09-30
Edinburgh Partners Glbl Opps EUR I 2% 5% 19% 13% 5% 593M 2014-09-30
AXA Rosenberg Pac Ex-Jap Sm Cp Alp A € -3% 5% 0% 13% 10% 203M 2014-09-30
Ignis Intl North Am I USD Acc 4% 5% 24% 2% 18% 42M 2014-02-28
UBS ETFs plc-MSCI Japan SF JPY A-acc 4% 5% 11% 2% 0% 4112M 2014-09-30
Prescient SP Global Equity Income A 2% 5% 18% 10% 5% 32M 2014-09-30
iShares MSCI World (Acc) (DE) 3% 5% 16% 11% 0% 507M 2013-04-30
Loomis Sayles High Income Fd HI/D GBP 0% 5% 0% 3% 10% 261M 2013-02-28
First Norway Alpha Kl.II (LAMP) 0% 5% 1% 5% 2% - 2012-03-31
Diadema Dynamic European Opps I 1% 5% 6% 6% 3% 2M 2013-12-31
Prescient SP Eurozone Equity 1% 5% 23% 3% 0% 0M 2014-04-30
Crown Managed Futures Class A (USD) 2% 5% 15% 8% 2% 615M 2014-09-30

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