Funds performance

fund namesort icon 1 mth 3 mth 12 mth ytd Inception Net assets Return Date
Vontobel Emerging Markets Debt HI EUR 1.46% 3.46% 0.00% 3.46% -2.05% 175892454 2014-03-31
Vontobel Emerging Markets Debt HI CHF 1.40% 3.23% 0.00% 3.23% -2.54% 214144384 2014-03-31
Vontobel Emerging Markets Bond I USD 2.99% 1.52% -8.61% 1.52% 1.15% 206858154 2014-03-31
Vontobel Emerging Markets Bond HI CHFHdg 2.95% 1.39% -9.25% 1.39% -0.17% 182728150 2014-03-31
Vontobel Eastern European Bd I 1.82% -0.82% -8.72% -0.82% 3.37% 221564006 2014-03-31
Vontobel Diversified Alpha UCITS I -1.27% 0.44% -5.13% -5.71% -3.57% 44611240 2013-11-30
Vontobel Divers Alpha UCITS HI-USD Hdg -1.30% -0.10% -5.64% -6.19% -3.24% 60649356 2013-11-30
Vontobel Divers Alpha UCITS HI-CHF Hdg -1.27% 0.30% -5.58% -6.12% -4.13% 54921024 2013-11-30
Vontobel Clean Technology I -1.00% 4.24% 16.27% 4.24% 15.39% 41785749 2014-03-31
Vontobel China Stars Equity I -0.80% -4.81% 7.31% -4.81% 3.84% 147913059 2014-03-31
Vontobel Central & Eastern Euro Equity I 1.05% 3.19% 7.74% 13.08% -11.47% 25388020 2012-10-31
Vontobel Belvista Dy Commodity I -0.20% 4.95% -2.62% 4.95% -2.96% 64983452 2014-03-31
Vontobel Belvista Dy Commodity HI Hdg -0.21% 4.84% -3.13% 4.84% -3.65% 47149393 2014-03-31
Vontobel Belvista Dy Commodity HI CHF Hg -0.24% 4.76% -3.24% 4.76% -3.84% 57403132 2014-03-31
Vontobel Belvista Commodity S USD 0.12% 5.48% -1.30% 5.48% -5.52% 586261533 2014-03-31
Vontobel Belvista Commodity I USD 0.03% 5.25% -2.15% 5.25% 2.68% 586261533 2014-03-31
Vontobel Belvista Commodity HS Hgd CHF 0.06% 5.28% -2.02% 5.28% -5.25% 517874125 2014-03-31
Vontobel Belvista Commodity HI SEK Hdg 0.08% 5.20% -2.00% 5.20% -6.51% 3801055962 2014-03-31
Vontobel Belvista Commodity HI EUR 0.03% 5.17% -2.60% 5.17% 1.73% 425367918 2014-03-31
Vontobel Belvista Commodity HI CHF 0.00% 5.06% -2.87% 5.06% 2.95% 517874125 2014-03-31
Vontobel Abs Ret Bond EUR I 0.40% -0.30% 1.50% -0.30% 2.49% 155733416 2014-03-31
Vontobel Abs Ret Bond (CHF) S 0.39% -0.40% 1.69% -0.40% 1.32% 209633541 2014-03-31
Vontobel Abs Ret Bond (CHF) I 0.31% -0.55% 1.05% -0.55% 1.39% 209633541 2014-03-31
Victory Fund-Far East Opportunity B -0.60% -0.95% 13.50% -0.95% 9.12% 24817181 2014-03-31
Victoire Brasil Select I EUR 5.76% -0.87% -17.80% -0.87% -8.16% 54660643 2014-03-31
Victoire Brasil Invmt Fds Brasil Sel I $ -2.40% 5.96% -2.74% 11.42% -6.42% 35405281 2012-10-31
VG SICAV World Equity I 0.92% 1.48% 3.01% 1.48% -4.45% 15540979 2014-03-31
VG SICAV US Equity I 2.92% 3.66% 20.32% 3.66% 3.07% 14905663 2014-03-31
VG SICAV II Global Bond R EUR 0.26% 1.27% 5.57% 2.31% 4.17% 63870751 2013-05-31
VG SICAV II Global Bond B 0.19% 1.65% 6.65% 7.20% 0.00% 60974105 2012-10-31

Upcoming events

Upcoming training

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