Funds performance

fund namesort icon 1 mth 3 mth 12 mth ytd Inception Net assets Return Date
Credit Suisse High Yield Bond Common 1.08% 4.29% 11.82% 4.29% 5.65% 2014-03-31
Credit Suisse Long/Short Liquid Idx ETN 0.57% 0.08% 7.69% 0.08% 4.42% 2014-03-31
Credit Suisse Market Neut Global Eq ETN 1.12% 2.69% 3.83% 2.69% 1.35% 2014-03-31
Credit Suisse Merger Arbi Liquid Idx ETN -0.79% -1.25% 1.05% -1.25% 1.20% 2014-03-31
Credit Suisse Silver Shares Cov Call ETN -7.15% 0.00% 0.00% 0.00% -22.75% 2014-03-31
Crown Alternative Bond Sub-Fund B EUR 1.05% 1.76% 2.90% 1.31% 0.22% 2014-02-28
Crown Alternative Credit Sub-Fund B EUR 1.91% 4.12% 10.50% 3.03% 1.22% 2014-02-28
Crown Alternative DiversifSub-Fund B EUR -2.17% -3.36% -1.38% -3.36% 1.25% 2014-03-31
Crown Alternative Equity Sub-Fund B EUR 2.32% 2.70% 11.00% 0.92% 0.65% 2014-02-28
Crown Managed Futures Class A (USD) -2.67% -3.08% -3.87% -3.08% 0.84% 578000000 2014-03-31
Crown Managed Futures Class G (CHF) -2.74% -3.20% -4.31% -3.20% 0.00% 578000000 2014-03-31
CS (CH) I Divers Alpha USD H CHF A 0.52% 0.42% -14.35% 0.42% -8.45% 2012-03-31
CS (CH) I Divers Alpha USD H CHF D 0.61% 0.66% -13.48% 0.66% -5.27% 2012-03-31
CS (CH) I Divers Alpha USD H EUR D 0.61% 0.69% -12.49% 0.69% -4.64% 2012-03-31
CS (Lux) Private Markets CHF 0.18% 0.40% 6.89% 0.46% 5.42% 70593544 2014-02-28
CS (Lux) Private Markets EUR 0.31% 0.61% 6.21% 0.56% 6.53% 58028887 2014-02-28
CS (Lux) Private Markets USD 0.45% 1.21% 7.62% 0.83% 5.80% 80147075 2014-02-28
CS BF (CH) Convert International USD I -1.12% 3.13% 0.00% 3.13% 17.10% 169734490 2014-03-31
CS BF (CH) Corporate Bond CHF I 0.21% 1.57% 2.43% 1.57% 2.09% 374912615 2014-03-31
CS Commodity Fund Plus (CH) CHF D 0.08% 2.56% 0.44% 2.56% -7.14% 21130391 2014-03-31
CS Commodity Fund Plus (CH) USD I 0.00% 2.37% -0.19% 2.37% -5.50% 8376630 2014-03-31
CS EF (CH) Small & Mid Cap Switzerland I 2.18% 6.33% 23.48% 6.33% 20.62% 105479860 2014-03-31
CS EF (CH) Swiss Small Cap D 2.65% 8.24% 30.35% 8.24% 36.01% 109706378 2014-03-31
CS EF (CH) Swiss Small Cap I 2.59% 8.06% 29.51% 8.06% 28.23% 109706378 2014-03-31
CS FI Asia F USD 1.21% 3.73% 11.75% 8.42% 7.28% 116564909 2012-09-30
CS FIS-SIF Prem Credit Core F USD -2.58% -2.97% -2.82% -2.78% 1.55% 249259171 2011-11-30
CS FIS-SIF Prem Credit Core T CHF -2.59% -3.28% -3.69% -3.44% 0.80% 226863234 2011-11-30
CS FIS-SIF Prem Credit Core T EUR -2.44% -2.92% -2.53% -2.44% 1.44% 185164668 2011-11-30
CS IF Bd Rest Wrld Currencies Idx Blue Z -0.37% -8.12% -7.88% -4.90% 0.72% 126902886 2013-07-31
CS IF Bond Aggregate EUR Index F 0.67% -1.80% 5.29% 0.62% 6.08% 530112683 2013-07-31

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