Funds performance

fund name 1 mth 3 mth 12 mth ytd Inception Net assets Return Datesort icon
Currencies&Financial Products Leveraged 1.16% 2.90% -11.06% -15.00% 3.71% 48627648 2011-09-30
Strategy&Volatility Performance 0.34% 1.51% -17.10% -24.22% 2.02% 31260580 2011-09-30
FBFix 2006 Equity 33 Triple 5 Pls -0.11% 2.70% 1.05% 2.09% 2.46% 9496442 2011-09-30
FBFix 2006 Bond 7 Spread Click 1.14% 6.70% 0.67% 4.70% 5.63% 16240187 2011-09-30
Stakeholder Inversiones SICAV -0.57% -1.91% -1.57% -3.54% -0.76% 4230603 2011-09-30
Arbarin SICAV -4.33% -11.04% -1.07% -7.24% -1.87% 98660879 2011-09-30
Kirites de Inversiones SICAV -1.58% -4.32% -2.88% -4.74% -1.57% 15903161 2011-09-30
Inversiones Everest SICAV -3.34% -6.75% -6.64% -7.04% -1.41% 3315841 2011-09-30
Felicity L.P. SICAV -0.90% -0.93% 0.12% 0.84% -0.10% 12933640 2011-09-30
Ratevin Valores SICAV -4.29% -10.74% -4.56% -7.85% -4.43% 9579451 2011-09-30
Alor Cartera SICAV -1.37% -9.69% -6.94% -10.41% -2.21% 14480498 2011-09-30
Iturinver SICAV -1.82% -9.26% -8.26% -11.88% -1.44% 9159920 2011-09-30
Neutral Inversiones SICAV -6.50% -16.79% -13.88% -16.79% 5.04% 16057348 2011-09-30
K2 2006 SICAV -0.14% -11.90% -3.77% -12.38% -3.65% 3575228 2011-09-30
LBBW Aktien Minimum Varianz -1.26% -12.74% -7.99% -10.64% -1.12% 15592200 2011-09-30
HSBC-F2 BFV1 -0.89% -0.78% 1.95% -0.88% 8.09% 577660704 2011-09-30
HSBC-DH B-7 0.20% 0.64% 2.84% 2.03% 5.03% 371135865 2011-09-30
HSBC-F2 BFP1 -0.90% -0.81% 1.83% -0.96% 8.00% 577660704 2011-09-30
HZEURO B2-A 1.65% 7.61% 5.17% 9.73% 6.39% 128092125 2011-09-30
ICAPLUS B-M4 -1.42% 3.52% -1.69% 1.45% 4.88% 31934041 2011-09-30
ING2034 BOE4 0.23% 1.76% 4.85% 2.24% 6.43% 501819083 2011-09-30
DB Platinum II Hg Alpha Inc R2D EUR 1.22% 5.00% 2.38% 4.61% 3.49% 1847445 2011-09-30
DB Platinum II Hg Alpha Inc R3D GBP Inc 0.84% 4.43% 3.37% 6.93% 4.85% 1596438 2011-09-30
Raiffeisen-Stabilitätsfonds VT -0.24% -0.79% 0.12% -2.76% 0.61% 54540676 2011-09-30
Raiffeisen-Stabilitätsfonds T -0.25% -0.79% 0.12% -2.76% 0.62% 54540676 2011-09-30
Putnam New Flag Euro High Yield M -7.31% -14.36% -9.40% -9.94% 47931125 2011-09-30
Swisscanto (LU) SICAV II Bond CHF B 0.94% 2.50% 1.96% 2.88% 2.20% 209152296 2011-09-30
Swisscanto (LU) SICAV II Balance EUR B -0.52% -3.02% -1.61% -4.24% 0.96% 63692939 2011-09-30
Swisscanto (LU) SICAV II Yield EUR B 0.40% 0.39% -0.10% -0.63% 2.06% 116926349 2011-09-30
Nedgroup IS Guarded Strategy -1.39% -5.27% -29.00% -25.92% -10.78% 1463822 2011-09-30

Upcoming events

Upcoming training

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