Funds performance table by strategy

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fund name 1 mth 3 mth 12 mthsort icon ytd Inception Net assets Return Date
Voya Russell Mid Cap Index I -3% -1% 15% 6% 10% - 2014-09-30
SSgA World Equity Index CHF B3 0% 0% 15% 12% 0% 833M 2012-11-30
ROI Global Retirement Series O -2% -4% 15% 0% 2% 36M 2011-07-31
Jupiter North American Income I Inc 1% 6% 15% 9% 17% 559M 2014-09-30
CS (Lux) Japan Value Equity EB JPY 2% 5% 15% 8% 16% 4295M 2014-09-30
Fidelity Growth & Income Y-Acc-USD 1% 3% 15% 4% 4% 130M 2014-06-30
Euro Stoxx 50 THEAM Easy ETF D 1% 0% 15% 7% 13% 292M 2014-09-30
Lyxor ETF MSCI AC AsiaexJp ConStpTR CEUR 1% 10% 15% 15% 6% 10M 2014-09-30
Sunrise Capital Diversified Ltd 3% 5% 15% 3% 6% - 2014-09-30
Petercam Equities Agrivalue F 0% 4% 15% 11% 15% 107M 2014-09-30
Invesco Muni Income Opps Trust Common 0% 3% 15% 14% 4% - 2014-09-30
NEF Az Paesi Emerg I -1% 6% 15% 18% 14% 223M 2014-09-30
BNPP L1 Equity World Utilities I 4% 14% 15% 14% 0% 72M 2013-04-30
Nuveen Symphony Mid-Cap Core I -3% -1% 15% 5% 8% - 2014-09-30
Sentinel Growth Leaders I -1% 1% 15% 6% 4% - 2014-09-30
ThaiDEX SET High Dividend ETF 2% 6% 15% 18% 10% 104M 2014-09-30
Momentum Equity B5 -1% -1% 15% 8% 14% 2972M 2014-09-30
inProp UK Commercial Property A July 12 0% 4% 15% 12% 9% 140M 2014-09-30
AB Emerging Markets Growth S AUD 0% 2% 15% 6% 5% 792M 2014-09-30
inProp UK Commercial Property A Sep 12 0% 4% 15% 12% 10% 140M 2014-09-30
inProp UK Commercial Property A Aug 12 0% 4% 15% 12% 10% 140M 2014-09-30
inProp UK Commercial Property Fd A Oct12 0% 4% 15% 12% 11% 140M 2014-09-30
Nedgroup Inv Opportunity B2 0% 0% 15% 9% 14% 2203M 2014-09-30
Commerzbank ETN 1x TECDAXF Daily Long 0% -4% 15% 6% 21% - 2014-09-30
UBAM Swiss Equity I CHF Inc 0% 0% 15% 7% 19% 487M 2014-09-30
ICICI Pru SMART Ser H 36 Mn Instl Gr 1% 3% 15% 7% 21% 79M 2011-07-31
ICICI Pru SMART Ser H 36 Mn Retl Div 1% 3% 15% 7% 21% 79M 2011-07-31
ICICI Pru SMART Ser H 36 Mn Retl Gr 1% 3% 15% 7% 21% 79M 2011-07-31
Henderson UK Equity Inc & Gr I Acc 1% 0% 15% 3% 0% 567M 2014-08-31
UBS (Lux) IF Global Convert Bonds AD-T2 0% 3% 15% 4% 7% 296M 2014-04-30

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