SICAV Funds performance table

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fund namesort icon 1 mth 3 mth 12 mth ytd Inception Net assets Return Date
Vontobel Sustainable Global Eq I 1% 4% 10% 12% 5% 7M 2012-11-30
Vontobel Sustainable Glb Ldrs S 1% 2% 18% 10% 24% 288M 2014-10-31
Vontobel Sustainable Glb Ldrs I 1% 2% 17% 9% 18% 288M 2014-10-31
Vontobel Sustainable EM Leaders I 6% 1% 9% 8% 2% 181M 2014-10-31
Vontobel Sust Asian Ldrs (ex-Jap) I 6% 0% 14% 11% 17% 36M 2014-10-31
Vontobel Sust Asian Ldrs (ex-Jap) HI 6% 0% 13% 11% 16% 29M 2014-10-31
Vontobel Robusta Dynamic I EUR 0% 2% 1% 1% 2% 28M 2014-10-31
Vontobel Robusta Dynamic HI (hedged) USD 0% 2% 1% 1% 2% 35M 2014-10-31
Vontobel Robusta Dynamic HI (hedged) CHF 0% 2% 1% 1% 2% 34M 2014-10-31
Vontobel Pure Premium Strategy I USD -1% -1% 0% 0% 0% 45M 2014-10-31
Vontobel Pure Premium Strategy HI HdgEUR -1% -1% 0% 0% 0% 36M 2014-10-31
Vontobel Pure Premium Strategy HI HdgCHF -1% -1% 0% 0% 0% 43M 2014-10-31
Vontobel Pure Momentum Strgy I USD Acc 1% 5% 10% 12% 9% 80M 2014-10-31
Vontobel Pure Momentum Strgy HI EURH Acc 1% 5% 9% 11% 9% 64M 2014-10-31
Vontobel Pure Momentum Strgy HI CHFH Acc 1% 5% 9% 11% 9% 77M 2014-10-31
Vontobel Pure Div Strgy I USD Acc -1% -1% 0% 0% 0% 54M 2014-10-31
Vontobel Pure Div Strgy HI EUR H Acc -1% -1% 0% 0% 0% 43M 2014-10-31
Vontobel Pure Div Strgy HI CHF H Acc -1% -2% 0% 0% 0% 52M 2014-10-31
Vontobel New Power I -1% 1% 8% 5% -1% 230M 2014-10-31
Vontobel Japanese Equity I 0% 3% 10% 1% -3% 4295M 2014-10-31
Vontobel High Yield Bond I EUR Acc 0% 0% 5% 4% 10% 296M 2014-10-31
Vontobel High Yield Bond HI CHF Hdg Acc 0% 0% 5% 3% 6% 357M 2014-10-31
Vontobel Global Resp European Eq I 0% 1% -5% -11% 6% 3M 2011-11-30
Vontobel Global Equity S 3% 3% 10% 7% 15% 1452M 2014-10-31
Vontobel Global Equity I USD 3% 2% 9% 7% 6% 1452M 2014-10-31
Vontobel Global Equity I GBP 4% 8% 9% 10% 14% 908M 2014-10-31
Vontobel Global Equity HI 3% 2% 9% 6% 3% 1159M 2014-10-31
Vontobel Global Equity (ex-US) I 1% -2% 3% 4% 1% 128M 2014-10-31
Vontobel Global Equity (ex-US) HI 1% -2% 3% 4% 1% 102M 2014-10-31
Vontobel Global Convertible Bd I EUR 1% 1% 5% 3% 6% 190M 2014-10-31

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