Funds performance

fund namesort icon 1 mth 3 mth 12 mth ytd Inception Net assets Return Date
Mul-Str Portf Kronos MSP Pure Bd S 0.69% 0.00% 7.17% 7.46% 2.53% 68565752 2012-10-31
Mul-Str Portf Port Kronos MSP Aggr HIC C 0.14% 1.36% 11.57% 1.36% 0.00% 32145604 2014-03-31
Mul-Str Portf Port Kronos MSP Aggr ICA C 0.32% 1.60% 7.08% 1.60% 0.00% 32145604 2014-03-31
Mul-Str Portf Potf Kronos MSP Defe HIC C 0.52% 2.69% 3.71% 2.69% 0.00% 43337696 2014-03-31
Mul-Str Portf Potf Kronos MSP Defe ICA C 0.56% 2.75% 2.90% 2.75% 4.64% 43337696 2014-03-31
Multi-Strat Port Kronos MSP Pur Eq I 0.08% 0.88% 9.01% 0.88% 3.45% 119411298 2014-03-31
Multi-Strat Port Kronos MSP Pur Eq I Hgd 0.12% 3.47% 8.67% 10.29% 6.95% 42740738 2012-10-31
Multi-Strat Portf Dynamic Prote Cap 0.20% 0.89% 3.31% 3.89% 0.00% 82555061 2011-11-30
NaspaFondsStrategie: Chance -0.11% 1.02% 9.12% 1.02% -0.26% 40485212 2014-03-31
NaspaFondsStrategie: Chance Plus -1.21% 0.14% 8.01% 0.14% 4.69% 28463304 2014-03-31
NaspaFondsStrategie: Ertrag 0.38% 1.76% 4.05% 1.76% 2.15% 2014-03-31
NaspaFondsStrategie: Wachstum 0.33% 1.86% 6.34% 1.86% 1.44% 41941112 2014-03-31
NEF Az Euro I -0.77% 3.32% 26.50% 3.32% 4.82% 2014-03-31
NEF Az Globale I -0.26% 1.48% 10.72% 1.48% -1.07% 2014-03-31
NEF Az Pacifico I 1.28% 2.11% 8.86% 2.11% -1.14% 2014-03-31
NEF Az Paesi Emerg I 5.36% 2.42% -11.91% 2.42% 13.75% 2014-03-31
NEF Az Stati Uniti I 0.73% 1.98% 10.47% 1.98% -1.62% 2014-03-31
NEF Cedola Euro I -0.10% -0.72% -1.33% -0.72% -0.53% 2014-03-31
NEF EE.ME.A I -1.56% -7.16% -7.23% -7.16% 7.84% 2014-03-31
NEF Euro Corp Bds I 0.31% 2.05% 2.88% 2.05% 4.16% 2014-03-31
NEF Europ Convert Bds I -0.70% 1.50% 12.76% 1.50% 2.93% 2014-03-31
NEF Flessibile I 0.36% 1.66% 8.98% 1.66% 1.44% 2014-03-31
NEF Immobiliare I 1.00% 2.90% 2.01% 2.90% -4.86% 2014-03-31
NEF Obbligaz B T Euro I 0.21% 0.84% 2.27% 0.84% 2.60% 2014-03-31
NEF Obbligaz Euro I 0.74% 2.86% 4.32% 2.86% 3.77% 2014-03-31
NEF Obbligaz Glbe I 0.62% 3.96% -1.47% 3.96% 1.99% 2014-03-31
NEF Obbligaz Paesi Emerg I 1.24% 3.36% -2.84% 3.36% 8.16% 2014-03-31
Neutral SICAV Equity Value Fd I USD Cap 0.00% 0.00% 0.00% 0.00% 2.35% 18178525 2014-03-31
Neutral SICAV Infl Linked Bonds I EUR 0.18% 0.97% -4.68% 0.97% 1.86% 56490242 2014-03-31
Neutral Sicav-Conservative Wolf I EUR 0.17% 1.49% -2.65% 1.49% 0.10% 33239386 2014-03-31

Upcoming events

Upcoming training

Mon, 12/05/2014 (All day) - Dubai
Tue, 13/05/2014 (All day) - Dubai