Funds performance table by strategy

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fund name 1 mth 3 mth 12 mth ytd Inception Net assets Return Datesort icon
BlackRock LifePath Active 2055 K -1% 2% 14% 2% 16% - 2014-07-31
Altre BCI Real Return Property B 1% 3% 13% 5% 12% 399M 2014-07-31
Nordea-1 US Corporate Bond AX USD 0% 1% 7% 5% 4% 3156M 2014-07-31
TDAM Institutional US Govt Commercial 0% 0% 0% 0% 0% - 2014-07-31
TDAM Instl Treasury Obligation MMkt Comm 0% 0% 0% 0% 0% - 2014-07-31
TDAM Short-Term Bond 0% 0% 0% 0% 2% - 2014-07-31
Horizons Act S&P/TSX 60 CvrCall ETF Adv 1% 4% 16% 9% 8% 6M 2014-07-31
GuoTai SSE Delivrb 5 Yr Trs Bd Idx ETF 0% 1% 0% 3% 0% 593M 2014-07-31
NEXT FUNDS Nomura Japan Eq Hi Div 70 ETF 1% 10% 16% 1% 20% 4295M 2014-07-31
CATCo Reinsurance Fund Ltd Class E USD 1% 2% 19% 5% 0% - 2014-07-31
YNIT China Dragon Select Capital Trust 3 8% 8% 6% -4% -6% - 2014-07-31
CATCo Reinsurance Fund Ltd Class D USD 0% 2% 18% 5% 0% - 2014-07-31
Salm - Salm Balanced Convertible B 0% 1% 6% 1% 0% 88M 2014-07-31
Credit Suisse Gold Shrs Cov Call Exc ETN -3% -3% -13% -3% -23% - 2014-07-31
E Fund Seeded CSI 300 ETF 9% 11% 9% 2% -3% 4295M 2014-07-31
IFR Commodity Fund Diversified - I (CHF) -3% -4% 0% 2% -7% 160M 2014-07-31
IFR Commodity Fd Long Only Active I CHF -4% -5% 1% 1% 1% 6M 2014-07-31
Altegris Fixed Income Long Short I 0% 1% 8% 5% 6% - 2014-07-31
AXA WF Em Short Duration Bds I(H)-DQ GBP 0% 2% 7% 4% 3% 1224M 2014-07-31
QS BFM Mgd Volatil Intl Div IS 0% 3% 12% 7% 12% - 2014-07-31
IFR Commodity or Cash Fund I -4% -5% -2% -2% -4% 52M 2014-07-31
First Eagle Amundi International IHC-C -1% 1% 9% 3% 10% 4295M 2014-07-31
QS BFM Mgd Volatil Glbl Div IS -1% 1% 9% 5% 10% - 2014-07-31
AXA WF Universal Infl Bonds I(H)-C GBP 0% 1% 3% 4% -1% 145M 2014-07-31
Arbiter Partners Class C 0% 3% 24% 13% 22% 841M 2014-07-31
Principal LifeTime 2060 Institutional -1% 2% 14% 3% 16% - 2014-07-31
ZIF Aktien Global Small Cap A1 -1% 3% 10% 1% 14% 220M 2014-07-31
ZIF US Corporate CHF B1 0% 1% 6% 5% 2% 397M 2014-07-31
Anima Alto Potenziale Globale F 0% 1% 5% 0% 6% 789M 2014-07-31
Anima Obbligazionario Euro F 0% 1% 5% 3% 4% 248M 2014-07-31

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