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) IF Glb Bds Cons Pass CHF II IA1 0% 2% 3% 6% 4% 83M 2014-09-30
Diamant Bleu LFP Actions Rendement S A/I 2% 2% 19% 6% 19% 25M 2014-05-31
Lyxor ETF MSCI Taiwan C-USD -7% -3% 11% 6% 4% 42M 2014-09-30
Lyxor ETF MSCI Taiwan USD A/I -7% -3% 11% 6% 3% 42M 2014-09-30
AB Asia Ex-Japan Equity ID AUD H Inc -1% -8% -15% 6% 3% 876M 2012-07-31
JB (CH) Physical Zinc-USD A -3% 3% 16% 6% 16% 3M 2014-09-30
JB (CH) Physical Zinc-USD AX -3% 3% 16% 6% 16% 3M 2014-09-30
LBPAM Responsable Obli Crédit I 0% 1% 8% 6% 5% 31M 2014-09-30
AXA PRIVATE SELECTION OPEN EQUITIES 0% 1% 10% 6% 0% - 2014-09-30
Amundi ETF MSCI Japan EUR A/I 3% 5% 7% 6% 8% 296M 2014-09-30
SEB Key Europe Long/Short HNW H-NOK 0% 2% 6% 6% 0% 42M 2012-12-31
ZIF Obligationen Unternehmungen CHF A1 0% 1% 7% 6% 3% 2121M 2014-09-30
JB Inst BVG LPP 40 Plus CHF A 0% 1% 9% 6% 3% 97M 2014-09-30
SIP World Equity Index (CHF Hedged) A3 2% 3% 20% 6% 1% 2240M 2014-08-31
AB Asia Ex-Japan Equity I AUD H Acc -1% -8% -15% 6% 3% 876M 2012-07-31
ZIF Obligationen Unternehmungen CHF D1 0% 1% 7% 6% 4% 2121M 2014-09-30
Amundi ETF MSCI Europe ex Financials A/I 0% 0% 12% 6% 13% 10M 2014-09-30
MFS® Inves Fds Emerg Mkts Eq Fd-CL Q2USD 2% 5% 15% 6% 14% - 2014-08-31
Avadis Fd Emerging Market Debt E CHF 0% 1% 1% 6% -4% 257M 2014-09-30
JB Inst BVG LPP 40 Plus CHF B 0% 1% 9% 6% 3% 97M 2014-09-30
PINK Global Equity I 2% 1% 9% 6% -1% - 2013-07-31
AB Asia Pacific Ex-Japan Equity S USD -7% -2% 10% 6% 6% 637M 2014-09-30
JB (CH) Physical Zinc-EUR A -3% 3% 16% 6% 16% 3M 2014-09-30
JB (CH) Physical Zinc-EUR AX -3% 3% 16% 6% 16% 3M 2014-09-30
ZIF Obligationen Unternehmungen CHF E1 0% 1% 7% 6% 5% 2121M 2014-09-30
UBS (Lux) IF Global Convert Bonds AA -1% -1% 12% 6% 6% 335M 2014-09-30
ZIF Obligationen Unternehmungen CHF B1 0% 1% 7% 6% 0% 2121M 2014-09-30
LOYS FCP - LOYS Global L/S I 0% 0% 10% 6% 10% 26M 2014-09-30
AB Emerging Markets Debt S1 EUR H -2% -2% 7% 6% 5% 839M 2014-09-30
Eurobank EFG I (LF) FoF-Equity Blend -1% -1% 8% 6% -2% - 2012-10-31

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