Funds performance table by strategy

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fund name 1 mthsort icon 3 mth 12 mth ytd Inception Net assets Return Date
Lyxor ETF Commd Thm R/J CRB exEnrg C-€ -1% 0% 9% 10% 1% 246M 2014-11-30
KODEX Inverse -1% 5% 8% 6% -4% 4295M 2014-11-30
TIGER200 Inverse -1% 5% 8% 6% -3% 4295M 2014-11-30
TIBURON TAO FUND A USD -1% 5% -8% -12% 0% - 2010-11-30
SC Defender Realisation A USD -1% 2% -15% -12% 0% 3M 2011-10-31
Green Way Arbitrage Class H1 -1% 0% 9% 3% 0% 112M 2013-06-30
AlphaGen Crucis Fund Class B -1% 0% 3% 3% 1% 73M 2010-12-31
AlphaGen Crucis Fund Class C -1% 0% 3% 3% 0% 4295M 2010-12-31
PrimFund Composite Class B USD -1% -4% -1% -4% -8% - 2010-06-30
Artemis Global Hedge USD -1% -1% 4% 6% -7% 19M 2014-11-30
HSBC UCITS AdvantEdge USD Institutional -1% -2% 0% -2% 0% - 2011-06-30
National Trust Sycomore Selected 2 -1% 0% 1% -5% -5% - 2011-05-31
FPP Emerging Markets Limited -1% -5% -25% -16% 4% - 2012-08-31
Pioneer Fds EmrgMkts Bd LocCcy I EUR ND -1% 0% 8% 10% 6% 217M 2014-11-30
Calvert Global Alternative Energy I -1% -9% -6% -6% -9% - 2014-11-30
Guotai Evaluate Advantage Classified -1% 3% 0% -7% 3% 892M 2011-08-31
Pioneer Fds EmrgMkts Bd LocCcy I EUR DA -1% 0% 8% 10% 6% 217M 2014-11-30
JOHCM Japan GBP A -1% -1% -2% -2% 5% 656M 2014-10-31
MGTS Frontier Cautious R Inc -1% 0% 4% 1% 5% 44M 2014-09-30
PIMCO Emerging Local Bond Instl -1% -5% 0% 0% 5% - 2014-11-30
PIMCO Emerging Local Bond P -1% -5% 0% 0% 4% - 2014-11-30
Advance International Shares Core W -1% 9% 39% -1% 0% - 2014-01-31
PIMCO GIS Emerg Local Bond Instl USD Acc -1% -5% 0% 0% 4% 4295M 2014-11-30
Astarra Wholesale Portfolio Service -1% 0% -3% -5% 10% - 2009-09-30
JPM Global Natural Resources C (acc)-USD -1% -20% -34% -14% -4% 2034M 2012-06-30
Mirova Global Climate Change I/A USD -1% 3% -21% 13% 0% 63M 2012-04-30
Birla Sun Life Intrvl Inc Qt Sr I IP Div -1% 0% 5% 4% 6% 92M 2014-11-30
iShares S&P 500 (Acc) -1% 2% 16% 5% 15% 1460M 2014-07-31
Advisory Research MLP & Energy Income I -1% -5% 19% 16% 14% - 2014-11-30
Fulcrum Alternative Mgrs I4 EUR Acc -1% -1% 5% -1% 0% 36M 2011-06-30

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