FCP Funds performance table

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fund namesort icon 1 mth 3 mth 12 mth ytd Inception Net assets Return Date
AB Value Inv Emerging Mkt Val I EUR 1% 2% 13% 16% 3% 173M 2014-10-31
AB Value Inv Emerging Mkt Val S AUD 0% 1% 13% 8% 2% 246M 2014-10-31
AB Value Inv Emerging Mkt Val S JPY 3% 5% 20% 14% 8% 4295M 2014-10-31
AB Value Inv Emerging Mkt Val S1 JPY 3% 4% 19% 13% 12% 4295M 2014-10-31
AB Value Inv Emerging Mkts Value S1QD 0% -3% 4% 6% 3% 217M 2014-10-31
AB VI CGC LV (Euro) 0% 0% 3% 2% 1% 74M 2014-10-31
ABCM Global Allocation I 0% 0% 3% 3% 5% - 2014-10-31
Aberdeen Actions Euro I -2% 0% 4% 2% 9% 10M 2014-10-31
Aberdeen Flex Equity I -1% 1% 8% 6% 5% 9M 2013-06-30
Aberdeen MultiFund (Lux) Con Glbl I -3% 2% -9% -12% 2% 52M 2011-11-30
ABS Invest 0% 1% 4% 1% 3% - 2007-06-30
Absolut Asia C I -1% 0% 9% 10% -1% 2M 2014-10-31
AC Alternative Pharos Evolution A 0% 1% -12% -8% -14% 1M 2012-08-31
AC Alternative Pharos Evolution C -1% -11% -9% -4% -13% 1M 2011-04-30
AC Alternative Pharos Evolution D -1% -3% -9% -9% -15% 3M 2010-12-31
AC Multistrategy - Branca Tactical A 0% 1% 0% 1% -2% 5M 2012-08-31
AC Risk Parity 12 Fund 2% 4% 7% 1% 9% - 2013-04-30
AC Risk Parity 12 Fund AUD C 2% 2% 10% 12% 4% 216M 2014-10-31
AC Risk Parity 12 Fund CHF A 1% 1% 8% 10% 1% 182M 2014-10-31
AC Risk Parity 12 Fund EUR A 1% 1% 8% 11% 6% 151M 2014-10-31
AC Risk Parity 12 Fund EUR C 1% 1% 8% 11% 1% 151M 2014-10-31
AC Risk Parity 12 Fund GBP A 2% 1% 8% 11% 2% 118M 2014-10-31
AC Risk Parity 12 Fund SGD A 2% 1% 7% 11% 1% 244M 2014-10-31
AC Risk Parity 12 Fund USD A 2% 1% 8% 11% 7% 189M 2014-10-31
AC Risk Parity 17 Fund CHF A 2% 1% 9% 13% -4% 12M 2014-10-31
AC Risk Parity 17 Fund EUR A 2% 1% 10% 14% -1% 10M 2014-10-31
AC Risk Parity 17 Fund EUR C 2% 1% 0% 14% 11% 10M 2014-10-31
AC Risk Parity 17 Fund GBP A 2% 1% 10% 15% -1% 8M 2014-10-31
AC Risk Parity 17 Fund SGD A 2% 1% 10% 14% -3% 16M 2014-10-31
AC Risk Parity 17 Fund USD A 2% 1% 8% 14% -3% 13M 2014-10-31

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