Funds performance table by strategy

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fund name 1 mth 3 mth 12 mthsort icon ytd Inception Net assets Return Date
BlackRock ISF Emerg Mkts Idx $ Inst Inc -4% -4% -2% -2% 0% 4295M 2014-12-31
Prifund Alpha Emerging Markets B EUR 0% 8% -2% 8% 6% 26M 2012-03-31
SMAM China Stock Yield Fund 2002-12 -5% -11% -2% -6% 7% - 2011-07-31
SMAM China Stock Yield Fund 2002-6 -4% -11% -2% -5% 5% - 2011-07-31
GS Strategic Abs Ret Bd II I Acc 0% -3% -2% -2% 3% 457M 2014-12-31
Henderson Horizon Global Opps I2 0% 1% -2% -2% 6% 8M 2014-12-31
Henderson Horizon Inds of Future I2 4% 7% -2% 4% 12% 3M 2012-01-31
Pax World Global Envrnmntl Mkts Instl -1% 1% -2% -2% 4% - 2014-12-31
Fidelity AW Limited Term Bond B 0% 0% -2% 0% 3% 33M 2014-04-30
NVIT Emerging Markets VI 1% -2% -2% -2% 8% - 2014-03-31
Henderson Horizon Inds of Future I1 4% 7% -2% 4% 12% 3M 2012-01-31
PIMCO Floating Income Admin -2% -3% -2% -2% 2% - 2014-12-31
Holland Defensief Mix Fonds 0% -2% -2% -3% 1% 21M 2011-09-30
Standard Life UK Eq Inc Uncons R Inc -2% -16% -2% -12% -5% 57M 2011-09-30
Openmind Alpha Sector I -1% 0% -2% -1% -2% - 2013-05-31
MiraeAsset China Ashr Fdr Eq 1 F UnHdgd 2% 0% -2% 6% -2% 3484M 2012-05-31
MLIS Zweig Dimenna Us Lg-Shrt EqUcits B$ 2% 1% -2% 2% 0% 12M 2012-02-29
First Trust BICK ETF -5% -4% -2% -2% -3% - 2014-12-31
GS Strategic Abs Ret Bd II I Acc € H 0% -3% -2% -2% 3% 378M 2014-12-31
UBS (Lux) EEF Glbl Bd $ I-A1 Acc -5% -5% -2% -2% 6% 1263M 2014-12-31
SWIP MM Global Real Estate Sec P 4% 2% -2% 4% 2% 519M 2012-01-31
Eastspring Inv Japan Dynamic B -2% -4% -2% -2% 16% 566M 2014-12-31
HDF Xiphias International Class C EUR 0% -1% -2% -4% 0% - 2011-10-31
Arrow High Yield Fund Class U 1% 1% -2% -2% 7% 402M 2011-12-31
Fifth Third Small Cap Growth Instl 1% 11% -2% 11% 7% - 2012-03-31
JB BF Absolute Return-EUR C -2% -2% -2% -2% 2% 4295M 2014-12-31
NVIT Government Bond IV 0% 1% -2% 1% 3% - 2014-03-31
VY Templeton Global Growth I -2% -2% -2% -2% 4% - 2014-12-31
Schroder ISF EMkt I -4% -3% -2% -2% 6% 2883M 2014-12-31
UBS (Lux) EEF Glbl Bd $ I-A1 Inc -5% -5% -2% -2% 0% 1263M 2014-12-31

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