Aberdeen Funds performance table

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fund name 1 mth 3 mth 12 mthsort icon ytd Inception Net assets Return Date
Aberdeen Asian Income C 2% 0% 0% 2% 7% 200M 2013-01-31
Aberdeen Equity Long-Short Inst -2% -1% 0% 0% 3% - 2015-08-31
Aberdeen Equity Long-Short I/S -2% -2% 0% 0% 2% - 2015-08-31
Aberdeen International Eq Instl Fd I/S 3% 1% -1% 3% 3% - 2012-01-31
Aberdeen International Eq Instl Fd Instl 3% 1% -1% 3% 3% - 2012-01-31
Aberdeen Diversified Alternatives I/S -2% -4% -2% -2% 4% - 2015-08-31
Aberdeen Dynamic Allocation I/S -4% -5% -2% -1% 5% - 2015-08-31
Aberdeen US Equity Instl Svc -5% -6% -3% -4% 12% - 2015-08-31
Aberdeen Diversified Income I -3% -4% -4% -2% 5% - 2015-08-31
Aberdeen Diversified Income Instl Svc -3% -4% -4% -2% 4% - 2015-08-31
Aberdeen Asian Smaller Ord -3% -10% -5% -7% 0% 233M 2015-07-31
Murray International Ord 0% -9% -5% -2% 0% 689M 2015-07-31
Aberdeen Asian Income Ord -1% -11% -5% -3% 10% 200M 2015-07-31
Aberdeen Asia Bond Institutional -2% -5% -6% -4% 3% - 2015-08-31
Aberdeen Asia Bond Institutional Svcs -2% -5% -6% -4% 2% - 2015-08-31
Aberdeen Global High Income I -2% -4% -6% -2% 8% - 2015-08-31
Aberdeen Global Small Cap Instl -5% -6% -7% -1% 13% - 2015-08-31
Aberdeen Global Small Cap Instl Svc -5% -6% -7% -1% 11% - 2015-08-31
Aberdeen Asia Pac ex-Japan Eq Instl Svc -2% -7% -7% 0% 5% - 2015-07-31
Aberdeen Emerging Markets Debt Instl -2% -5% -7% -2% -1% - 2015-08-31
Aberdeen Emerging Markets Debt Instl Sev -2% -5% -7% -2% -1% - 2015-08-31
Aberdeen High Yield Instl -1% -3% -8% 0% 3% - 2015-08-31
Aberdeen High Yield Instl Svc -1% -3% -8% -1% 3% - 2015-08-31
Aberdeen Global Fixed Income Instl 0% -1% -9% -3% 1% - 2015-08-31
Aberdeen Global Fixed Income Instl Svc 0% -1% -10% -3% 5% - 2015-08-31
Aberdeen Development Capital ORD 2% 7% -11% 7% 0% 3M 2012-03-31
Aberdeen European Equity Instl Svc -5% -9% -11% -1% 0% - 2015-08-31
Aberdeen European Equity Institutional -5% -9% -11% -1% 0% - 2015-08-31
Aberdeen International Equity I/S -1% -7% -11% -1% 3% - 2015-07-31
Aberdeen Greater China -9% -16% -13% -7% 6% - 2015-08-31

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