Funds performance

fund name 1 mth 3 mth 12 mth ytd Inception Net assets Return Datesort icon
Manulife GF Taiwan Equity AA -11.04% -16.13% -0.57% -13.36% 3.24% 2011-09-30
Manulife GF US Trs Infl-Prot AA 0.07% 5.29% 8.26% 10.54% 6.74% 2011-09-30
Manulife GF US Bond AA -0.54% 0.31% 3.16% 3.54% 7.01% 2011-09-30
Manulife GF US Special Opportunities AA -6.09% -19.93% -10.62% -21.15% -1.71% 67278818 2011-09-30
BGF World Bond D2 USD 0.21% 1.69% 1.19% 3.04% 5.34% 444992333 2011-09-30
BGF World Mining D2 EUR -17.97% -23.70% -17.42% -32.87% 2.91% 4294967295 2011-09-30
Amundi Funds Absolute VaR 4 (USD) H-C -1.60% -4.88% -5.96% -6.14% 0.40% 105028106 2011-09-30
Deka-BORA Protect 3/2012 -1.21% -3.27% 1.00% -1.99% -0.09% 2011-09-30
BGF Emerging Markets D2 EUR -7.61% -15.11% -13.99% -21.16% 13.43% 786147834 2011-09-30
BGF Emerging Markets D2 USD -14.05% -21.18% -15.27% -20.95% 19.84% 1054778932 2011-09-30
ING (L) Inv Emerg Mkts Hi Div X EUR -9.03% -17.75% -16.22% -23.49% 1.33% 15760820 2011-09-30
BGF Euro-Markets D2 EUR -7.23% -24.15% -15.95% -20.79% -1.35% 1560771948 2011-09-30
BGF European Focus A2 USD -10.06% -22.29% -9.73% -16.05% 6.18% 1335860213 2011-09-30
BGF Euro Small & Mid Cap Opps D2 EUR -4.28% -15.12% -8.44% -17.31% 290506602 2011-09-30
Luxembourg Placement Dynamic Finance B 0.20% -0.74% -1.35% -2.00% 1.10% 36723039 2011-09-30
UBS (Lux) KSS Abs Ret + (USD) SGD hdg P 0.46% -0.07% -3.95% -3.61% -3.11% 206532942 2011-09-30
BGF Global Dynamic Equity USD C2 -9.57% -15.54% -7.16% -13.81% 0.20% 1039467438 2011-09-30
BGF Global Enhanced Eq Yield Hdg A2 EUR -7.55% -15.40% -7.69% -13.27% 0.00% 159309347 2011-09-30
BGF Global Enhanced Eq Yield Hdg A5 EUR -7.55% -15.27% -7.62% -13.09% -7.22% 159309347 2011-09-30
BGF Global Equity A4 USD -15.15% -22.61% -13.15% -18.71% -2.36% 250557762 2011-09-30
BGF Global Equity Q2 USD -15.24% -22.75% -13.95% -19.30% -3.26% 250557762 2011-09-30
BGF US Basic Value D2 USD -8.47% -16.60% -4.56% -13.09% -3.97% 1452473514 2011-09-30
BGF US Flexible Equity D2 USD -9.52% -19.13% -2.86% -10.57% -2.66% 1231711747 2011-09-30
BGF Emerging Markets Bond D2 USD -3.19% -0.99% 1.95% 2.19% 6.99% 734553909 2011-09-30
BGF Euro Bond D2 EUR 0.47% 2.38% 0.47% 3.06% 5.65% 1192431102 2011-09-30
BGF India D2 EUR 1.50% -11.85% -23.68% -24.71% 2.00% 542204753 2011-09-30
BGF Japan Value A4RF GBP 1.34% -7.85% -1.68% -15.25% -5.03% 87704733 2011-09-30
BGF Japan Value Hedged A2 EUR -3.20% -14.55% -10.57% -19.73% -15.61% 101830560 2011-09-30
GS Glbl Fixed Income Hdgd E 0.17% 2.51% 1.72% 3.68% 4.00% 91721419 2011-09-30
GS Glbl Sm Cap Core Eq E Snap -4.71% -13.11% 1.53% -13.32% -7.11% 82507235 2011-09-30

Upcoming events

Upcoming training

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