FCP Funds performance table

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fund name 1 mth 3 mth 12 mth ytdsort icon Inception Net assets Return Date
UBS (CH) Mgr Sel Bonds Global XT2 B 2% -2% 6% -4% 2% 190M 2015-02-28
UBS (CH) Mgr Sel Bonds Global XT2 X 2% -2% 6% -4% 1% 190M 2015-02-28
CSIF Bd Gl Cor ex CHF In Blue F 2% -2% 7% -4% 6% 1054M 2015-02-28
AB Global Equity Blend Act Stlg S1 -4% -5% 10% -4% -3% 25M 2011-07-31
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 Z 2% -2% 8% -4% 4% 1054M 2015-02-28
VCH Commodity Alpha C -2% -4% -7% -4% -11% 2M 2013-03-31
Lyxor ETF Daily Double Short Bund A/I 0% -7% -23% -4% -15% 488M 2015-02-28
CCR Long Vol I -2% 2% -15% -4% -2% 15M 2015-02-28
Latitude Alpha Acc -2% -2% -8% -4% -1% - 2012-05-31
JB (CH) Physical Nickel-CHF A -3% -11% -4% -4% 0% 3M 2015-02-28
JB (CH) Physical Nickel-CHF AX -3% -11% -4% -4% 0% 3M 2015-02-28
AB Global Equity Blend Act Stlg S -4% -5% 11% -4% -1% 25M 2011-07-31
THEAM I Step Instit Dec 2015 0% -1% -4% -4% -5% 37M 2012-11-30
AC Alternative Pharos Evolution C -1% -11% -9% -4% -13% 1M 2011-04-30
UBS (Lux) EF Small Caps USA (USD) I-A1 -5% 2% 4% -4% 9% 155M 2014-07-31
Lyxor ETF S&P 500 Capped Utilt Sct C-USD -6% -1% 15% -4% 12% 2M 2015-02-28
SIF QEP Global Value Extension P USD -4% -1% 14% -4% 10% 521M 2014-01-31
Rhenman Healthcare Equity L/S RC1 SEK 3% 9% -4% -4% 0% 186M 2010-12-31
Dexia Volatility Opportunities Acc. 0% 0% -5% -4% 0% - 2011-10-31
SIF QEP Global Value Extension I USD -4% -1% 14% -4% 10% 521M 2014-01-31
IFR Commodity Fd Long Only Active I CHF -1% -9% -22% -4% -1% 6M 2015-02-28
Pioneer SF EUR Commodities I USD Hdg 3% -13% -23% -4% -9% 116M 2015-02-28
Exane Gulliver Fund P 0% -1% -3% -4% 1% 430M 2011-09-30
Lyxor ETF Commodities CRB Non-Energy GBP -3% -6% -14% -4% 8% 20M 2012-04-30
Turquoise EUR -2% -4% -2% -4% -3% - 2011-09-30
Generali Belgium Fcp Asia Pacific A -1% 0% -3% -4% 1% 2M 2013-10-31
JB (CH) Physical Zinc-CHF A -1% -7% -3% -4% 2% 3M 2015-02-28
JB (CH) Physical Zinc-CHF AX -1% -7% -3% -4% 2% 3M 2015-02-28
Groupama Etat US M -1% -2% -1% -4% 2% - 2013-08-31

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