Funds performance table by strategy

help icon
fund name 1 mth 3 mth 12 mth ytd Inceptionsort icon Net assets Return Date
BlackRock UK Credit Bd Idx Inst Dis GBP -2% -3% 6% 0% 7% 743M 2015-06-30
ACM Dynamic Opportunity I 1% 2% 0% 0% 7% - 2015-06-30
L&G Multi-Index 6 C Inc -4% -2% 7% 3% 7% 83M 2015-06-30
Z Europe Fund EURO Ltd. -3% -1% -5% -3% 7% 26M 2015-06-30
Pine Grove Partners LP -1% 0% -1% 0% 7% - 2015-06-30
RAB European Credit Opportunities A -1% 0% 2% 1% 7% 26M 2015-06-30
Jiazhi Liancheng Growth Trust 3 8% 7% 0% 0% 7% - 2013-09-30
GLG Alpha Select Fund Class A 0% 0% 6% 1% 7% - 2015-06-30
Amethyst Arbitrage Fund Offshore 2% 3% 6% 5% 7% 120M 2015-05-31
Zhongyu Value Growth Trust 9% 22% 57% 58% 7% - 2014-09-30
JH Income Securities -1% -1% 2% 1% 7% - 2015-06-30
MS Eastern Europe 9% -8% -26% 5% 7% - 2015-02-28
ASTON/Montag & Caldwell Growth I 0% 1% 7% 3% 7% - 2015-06-30
Momentum Bond B3 0% -1% 6% 1% 7% 1098M 2015-06-30
Loomis Sayles Multisect Inc Fd I/D USD -1% -1% -4% -1% 7% 2001M 2015-06-30
Federated MDT Small Cap Growth Instl 0% 1% 10% 9% 7% - 2015-06-30
PIMCO GIS Diversified Inc Inst USD Inc -1% -1% 0% 2% 7% 4295M 2015-06-30
BlueBay Emerging Mkt Corp Bd I GBP -1% 0% -1% 0% 7% 956M 2015-06-30
Fidelity Instl Europe ex UK -5% -4% 7% 7% 7% 458M 2015-06-30
Vanguard Total Stock Mkt Idx Signal -2% 0% 17% 6% 7% - 2014-09-30
Sarasin Global Higher Dividend I£ Inc -6% -7% 11% 2% 7% 407M 2015-06-30
HSBC Flex Debt Mn Div 0% 2% 9% 5% 7% 4295M 2012-10-31
OnePath Life AP-Growth -2% -3% 10% 3% 7% 1274M 2015-06-30
Templeton India Income Builder A Ann Div 0% 2% 11% 11% 7% 3599M 2012-12-31
iShares US Energy -3% -2% -23% -4% 7% - 2015-06-30
Cap Int Asia Pacific ex-Japan Equity C 0% 1% 8% -5% 7% 31M 2011-05-31
Doric Nimrod Air One Ord 0% 2% -1% -4% 7% - 2015-06-30
Charlemagne Fund USD -4% -2% 3% 12% 7% 8M 2015-06-30
UTI FIIF Ser 2 Qt Interval IV Gr 0% 2% 8% 5% 7% 1243M 2011-08-31
Robeco US Select Opportunities Eqs I€Hdg -2% -1% 8% 2% 7% 1805M 2015-06-30

All our data is licensed from Morningstar UK Ltd. Important legal information