Funds performance

fund name 1 mth 3 mthsort icon 12 mth ytd Inception Net assets Return Date
Brandes European Equities I € 1.97% 7.58% 29.60% 7.58% 10.58% 133792099 2014-03-31
Polar Capital Fincls Income B1 Inst Inc 0.07% 7.57% -4.06% 7.57% 3.33% 26125690 2012-03-31
Ignis Intl Cart Enh Alpha I EUR Acc 3.59% 7.55% 15.39% 7.55% 4.94% 23222516 2013-03-31
Nomura Funds Ireland Asia ex Japan USD 1.25% 7.55% 9.74% 1.25% 1.81% 57845565 2013-01-31
Source STOXX Europe 600 Opt Aut&Prts ETF 1.21% 7.50% 50.83% 7.50% 25.68% 34054681 2014-03-31
Cazenove UK Equity X Euro 6.55% 7.47% 31.99% 18.25% 11.25% 689514111 2013-07-31
iShares Physical Gold ETC -2.64% 7.45% -19.38% 7.45% -4.48% 160938249 2014-03-31
iShares EURO Dividend 2.25% 7.44% 27.24% 7.44% 2.08% 506037170 2014-03-31
Source Physical Gold P-ETC -2.64% 7.43% -19.41% 7.43% 6.55% 2014-03-31
Janus Global Life Sciences I EUR -6.30% 7.32% 43.29% 7.32% 12.64% 337484878 2014-03-31
iShares Global Infrastructure 2.59% 7.24% 12.50% 7.24% 2.99% 397942412 2014-03-31
GAM Star Glb Eq Infl Focus Inst USD Acc -0.82% 7.17% 12.81% 9.82% 1.58% 7538541 2013-11-30
AIB Select Global Multimanager Equity C 1.24% 7.15% 24.24% 13.32% 0.91% 10350000 2012-09-30
Cazenove European Eq ex UK X GBP EUR Hdg 6.57% 7.14% 26.88% 13.53% 9.27% 86524006 2013-07-31
iShares EURO STOXX Mid 0.89% 7.04% 30.78% 7.04% 7.69% 299469077 2014-03-31
Neuberger Berman US Rel Est Sec $ I Acc 0.73% 7.00% 1.93% 7.00% 5.33% 369673182 2014-03-31
Neuberger Berman US Rel Est Sec € I Acc 0.71% 7.00% 1.34% 7.00% 3.11% 268220074 2014-03-31
Brandes European Equities I £ 2.18% 6.99% 26.91% 6.99% 8.48% 110607689 2014-03-31
Cazenove European Eq ex UK X EUR 6.49% 6.96% 26.10% 13.11% 8.16% 98787509 2013-07-31
SK EUR Aviva Investors European REIT IRL -1.32% 6.92% 17.12% 6.92% 4.65% 2014-03-31
Neuberger Berman US Rel Est Sec £ I Inc 0.68% 6.90% 2.05% 6.90% 2.04% 221741065 2014-03-31
iShares S&P 500 USD (DE) -0.68% 6.90% 4.25% 11.64% 4294967295 2012-04-30
iShares S&P 500 (Acc) (DE) -0.68% 6.90% 4.24% 11.63% 13.42% 151716999 2012-04-30
Single Hedge Emerging Markets Currency -2.63% 6.88% 7.50% 6.88% 2.74% 2012-03-31
PIMCO GIS CommoditiesPlus Strt Inv Acc 0.23% 6.84% -2.78% 6.84% -4.94% 410636394 2014-03-31
PIMCO GIS CommoditiesPlus Strt I Acc 0.20% 6.83% -2.38% 6.83% -0.20% 410636394 2014-03-31
iShares Euro Government Bond 10-15yr 1.65% 6.82% 10.40% 6.82% 7.20% 26616038 2014-03-31
PIMCO GIS CommoditiesPlus Strt Ins£H Inc 0.25% 6.81% -2.29% 6.81% -5.06% 246312028 2014-03-31
PIMCO GIS CommoditiesPlus Strt Ins Acc 0.27% 6.79% -2.75% 6.79% 3.31% 297941342 2014-03-31
PowerShares FTSE RAFI Europe Sm-Md ETF -0.87% 6.78% 29.16% 6.78% 5.02% 30347951 2014-03-31

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