Funds performance

fund name 1 mth 3 mth 12 mth ytdsort icon Inception Net assets Return Date
Parvest Real Estate Sec Europe P C -2.25% 7.48% 0.00% 7.48% 13.06% 575149565 2014-03-31
Eurizon EasyFund Eq Utilities LTE IH 2.46% 7.49% 10.85% 7.49% 6.84% 17993679 2014-03-31
Dexia Eqs L Euro 50 I 3.39% 7.34% 34.54% 7.49% 1.64% 80836608 2013-05-31
Dexia Life Bonds Long Term Euro I 1.78% 7.50% 9.08% 7.50% 6.38% 70348201 2014-03-31
Parvest Bond Europe I 0.45% 1.17% 11.65% 7.50% 4.96% 181114787 2012-11-30
HSBC GIF Glb Emerg Mkts Inv Grade Bd Z 2.42% 7.55% 10.84% 7.50% 119989988 2012-02-29
Crediinvest SICAV Spanish Value I3 1.24% 7.53% 0.00% 7.53% 5.56% 102384475 2014-03-31
Parvest Bond Euro Long Term P C 1.82% 7.53% 9.33% 7.53% 10.76% 66372639 2014-03-31
ComStage iBoxx€ LiqSov Divrs 15+ TR ETF 1.70% 7.54% 7.49% 7.54% 6.95% 10658646 2014-03-31
Astra Sicav SIF Adela A Cap 0.59% 7.54% 22.69% 7.54% 0.00% 2014-03-31
AXA WF Euro 10+LT ID EUR 1.77% 7.55% 9.57% 7.55% 6.00% 58534020 2014-03-31
PIMCO Lux Commodity Real Ret EUR Hdg Acc 0.34% 7.55% -10.65% 7.55% 1.85% 77523026 2014-03-31
AXA WF Euro 10+LT IC EUR 1.77% 7.55% 9.55% 7.55% 7.08% 58534020 2014-03-31
Generali Hedge Fds Lng/Shrt Eq R Acc 0.54% 0.95% 7.56% 7.56% 84187851 2012-12-31
UBS (Lux) EEF Glbl Bd CHF Hdg I-72 Acc 2.60% 7.56% 0.00% 7.56% 5.94% 1732605236 2012-02-29
Degroof Eqs Sm Cp Eurp Behav Val AI 0.05% 7.57% 27.95% 7.57% 2.91% 4147453 2014-03-31
PHEIM SICAV-SIF - VITTORIA 1.81% 7.57% 6.70% 7.57% 4.67% 2014-03-31
BNPP L1 Conv Bd World I(H) USD 1.17% 3.75% 8.79% 7.58% 6.37% 1624193160 2012-09-30
Loomis Sayles Glob Credit Fd H-Q/A GBP 2.32% 3.06% 7.42% 7.58% 7.50% 344975665 2012-07-31
ComStage EURO STOXX ® Sel Div 30 NR ETF 2.12% 7.59% 27.41% 7.59% 0.66% 52646189 2014-03-31
Polaris European Equity Total Ret I 0.80% 3.81% 7.72% 7.59% 0.84% 2012-10-31
Schroder ISF Asian Bd Abs Ret I € H 1.41% 3.52% 10.51% 7.61% 8.64% 814468656 2012-09-30
UBS (Lux) IF Euro Corporate Bonds FA-EUR 0.16% 1.83% 8.60% 7.61% 5.43% 113145643 2010-10-31
Mul-Str Portf Kronos MSP Pure Bd I Hdg 0.69% 2.10% 7.41% 7.61% 5.22% 68565752 2012-10-31
PIMCO Lux Commodity Real Ret USD Inc 0.27% 7.63% -10.22% 7.63% 1.08% 106845783 2014-03-31
Mirae Asset China Sector Leader Eq I € 3.60% 3.46% 19.68% 7.63% 4.88% 56853351 2012-09-30
MFS Meridian Emerg Mkts Equity I1 GBP 2.59% 2.86% 12.73% 7.63% 8.08% 66435286 2012-09-30
UIS Synergy Emerging Markets I -1.61% -0.48% -0.66% 7.63% -2.13% 52155299 2012-04-30
AXA WF Euro 10+LT MC EUR 1.80% 7.63% 9.88% 7.63% 6.32% 58534020 2014-03-31
PIMCO Lux Commodity Real Ret USD Acc 0.23% 7.64% -10.17% 7.64% 3.09% 106845783 2014-03-31

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Upcoming training

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