Switzerland Funds performance table

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fund namesort icon 1 mth 3 mth 12 mth ytd Inception Net assets Return Date
CSIF Bd Gl Aggr ex CHF Ind D 2% -2% 5% -5% 0% 2085M 2015-02-28
CSIF Bd Gl Aggr ex CHF Ind DH 0% 1% 6% 0% 3% 2085M 2015-02-28
CSIF Bd Gl Aggr ex CHF Ind F 2% -2% 4% -5% 1% 2106M 2015-02-28
CSIF Bd Gl Aggr ex CHF Ind FH 0% 1% 6% 0% 5% 2106M 2015-02-28
CSIF Bd Gl Aggr ex CHF Ind Z 2% -2% 5% -4% 0% 2085M 2015-02-28
CSIF Bd Gl Aggr ex CHF Ind ZH 0% 1% 6% 0% 3% 2085M 2015-02-28
CSIF Bd Gl Cor ex CHF In Blue D 2% -2% 8% -4% 6% 1054M 2015-02-28
CSIF Bd Gl Cor ex CHF In Blue DH 0% 1% 6% 1% 3% 1054M 2015-02-28
CSIF Bd Gl Cor ex CHF In Blue F 2% -2% 7% -4% 6% 1054M 2015-02-28
CSIF Bd Gl Cor ex CHF In Blue FH 0% 1% 6% 1% 3% 1054M 2015-02-28
CSIF Bd Gl Cor ex CHF In Blue Z 3% -1% 8% -4% 4% 1054M 2015-02-28
CSIF Bd Gl Cor ex CHF In Blue ZH 0% 1% 6% 1% 3% 1054M 2015-02-28
CSIF Bd Rest Wrld Currencies Idx Blue Z 2% -6% 2% -6% 0% 175M 2015-02-28
CSIF Bd Wld ex CHF Fis Str 1-5Y Idx BluZ 3% -4% 0% -6% -4% 218M 2015-02-28
CSIF Bd Wrld exCHF Fscl Strength Blu F 2% -3% 3% -5% 1% 1548M 2015-02-28
CSIF Bd Wrld exCHF Fscl Strength Blu FH 0% 1% 7% 1% 4% 1548M 2015-02-28
CSIF Bd Wrld exCHF Fscl Strength Blu Z 2% -4% 2% -6% 0% 1548M 2015-02-28
CSIF Bd Wrld exCHF Fscl Strength Blu ZH 0% 1% 7% 1% 0% 1548M 2015-02-28
CSIF Bond Aggregate EUR Index D 0% 3% 10% 2% 6% 875M 2015-02-28
CSIF Bond Aggregate EUR Index F 0% 3% 10% 2% 7% 875M 2015-02-28
CSIF Bond Aggregate EUR Index Z 0% 3% 10% 2% 6% 827M 2015-02-28
CSIF Bond Aggregate GBP Index D -3% 2% 12% 1% 6% 133M 2015-02-28
CSIF Bond Aggregate GBP Index Z -3% 2% 12% 1% 6% 133M 2015-02-28
CSIF Bond Aggregate JPY Index F 0% 0% 2% 0% 2% 4295M 2015-02-28
CSIF Bond Aggregate JPY Index Z 0% 0% 2% 0% 1% 4295M 2015-02-28
CSIF Bond Aggregate USD Index D 0% 1% 5% 1% 5% 1556M 2015-02-28
CSIF Bond Aggregate USD Index F 0% 0% 0% 0% 0% 1556M 2015-02-28
CSIF Bond Aggregate USD Index Z 0% 1% 5% 1% 5% 1483M 2015-02-28
CSIF Bond Corporate EUR Index D 0% 2% 8% 1% 5% 107M 2015-02-28
CSIF Bond Corporate EUR Index F 0% 2% 0% 1% 2% 54M 2015-02-28

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