Performance Nom ISIN / Valeur Style / Distr. YTD 1 an 3 ans MainFirst Absolute Return Multi Asset A (EUR) Fonds de placement
|
|
- Lily Howard
- 6 years ago
- Views:
Transcription
1 Recherche dun fonds Votre recherche a donné 187 fonds avec 767 tranches Suisse - Retail Investor :02 Nom ISIN / Valeur Style / Distr. YTD 1 an 3 ans MainFirst Absolute Return Multi Asset A LU % 18.04% 23.72% JPMorgan Investment Funds - Global Macro Fund A (acc) - USD Hermes Multi Strategy Credit Fund R EUR Accumulating Capital Group Global High Income Opportunities (LUX) B DPAM L - Bonds Higher Yield B Flossbach von Storch - Bond Opportunities EUR R Carmignac Portfolio Unconstrained Global Bond A EUR Acc Natixis International Funds (Dublin) I - Loomis Sayles High Income Fund R/D(USD) Man AHL Trend Alternative DNY H EUR Acc Invesco Funds - Invesco Pan European High Income Fund A Accumulation EUR PIMCO Funds: Global Investors Series plc Income Fund E Acc USD Schroder International Selection Fund Global High Income Bond A Acc (USD) Flossbach von Storch - Multi Asset - Defensive R PIMCO Funds: Global Investors Series plc Diversified Income Fund E Acc USD Echiquier Arty BlackRock Global Funds - Fixed Income Global Opportunities Fund A2 USD Edmond de Rothschild Fund - Bond Allocation A EUR Acc PIMCO Funds: Global Investors Series plc Strategic Income Fund E Acc USD Credit Suisse (Lux) Multimanager Enhanced Fixed Income USD Fund B DNCA Invest Eurose Class A shares EUR Pioneer Funds - Global Multi-Asset Conservative A EUR ND AB FCP I - Global High Yield Portfolio A2 Acc (USD) Fund Lab LU IE00BKRCNP LU LU LU LU IE00B5LW8F LU LU IE00B7KFL LU LU IE00B1D7YK FR LU LU IE00BG800R LU LU LU LU % 9.99% 20.63% -5.31% -1.01% 20.61% -1.78% 1.31% 19.60% 5.14% 5.72% 18.72% 4.54% 3.99% 17.52% -0.12% 0.52% 17.03% 7.50% 11.39% 16.48% 11.39% 15.64% 16.44% 6.52% 7.98% 15.75% 6.23% 6.90% 15.11% 10.72% 9.62% 14.92% 2.73% 3.13% 14.87% 7.49% 6.28% 14.40% 6.04% 7.46% 14.18% -6.04% -1.96% 13.77% 3.84% 3.48% 13.73% 8.00% 9.93% 13.69% 6.95% 6.49% 13.65% 5.51% 8.11% 13.46% 2.29% 3.70% 13.24% 6.81% 7.94% 12.93% 1 / 8
2 -0.54% -1.78% 12.56% Amundi Funds - Bond Global Total Return AE-C JPMorgan Funds - Global Bond Opportunities Fund A (acc) - USD Threadneedle Strategic Bond Fund Retail Gross Income GBP Invesco Funds Series 2 - Invesco Global High Income Fund A Semi-annual Distribution USD JPMorgan Funds - Flexible Credit Fund A (acc) - USD JPMorgan Funds - Income Fund A (acc) - USD La Française LUX - Multistratégies Obligataires R Capitalisation EUR AB FCP I - European Income Portfolio A2 Acc Legg Mason Brandywine Global Income Optimiser Fund Class A US$ Accumulating (USD) Credit Suisse (Lux) FundSelection Yield EUR B PIMCO Funds: Global Investors Series plc Euro Income Bond Fund E Acc EUR Swisscanto (LU) Portfolio Fund Yield AT HSBC GIF Global High Income Bond AC (USD) JPMorgan Investment Funds - Global Macro Balanced Fund A (acc) - EUR Schroder International Selection Fund Strategic Credit A EUR Hedged Acc M&G Optimal Income Fund Euro A-H Acc Swisscanto (LU) Portfolio Fund Green Invest Yield AA Invesco Funds - Invesco Global Unconstrained Bond Fund A Accumulation GBP Legg Mason Western Asset Global Multi Strategy Fund Class A USD Acc AXA World Funds - Defensive Optimal Income A Capitalisation EUR Investec Global Strategy Fund - Global Multi-Asset Income Fund A Acc USD Allianz Global Investors Fund - Allianz Dynamic Multi Asset Strategy 15 A EUR Aberdeen (Swiss) Funds Global Dynamic Bond Fund A USD Goldman Sachs Wealthbuilder Multi-Asset Conservative Portfolio Class Base USD Inc BCV Strategic Fund FCP - BCV (LUX) Strategy Yield LU LU GB IE LU LU LU LU IE00BBT3JP LU IE00B3QDMK LU LU LU LU GB00B1VMCY LU LU IE00B19Z3V LU LU LU CH LU LU % 5.19% 12.27% 3.53% 4.57% 12.20% 6.44% 6.57% 12.16% 5.81% 5.95% 11.68% 5.45% 4.77% 11.34% 2.06% 3.00% 11.22% 4.01% 4.22% 11.09% 4.10% 4.21% 10.58% 3.77% 4.79% 10.57% 4.75% 5.71% 10.50% 3.68% 4.05% 10.49% 6.14% 4.89% 10.46% 8.79% 4.95% 10.41% 3.03% 3.53% 10.37% 4.31% 5.41% 10.20% 3.54% 3.80% 10.13% 3.12% 3.10% 10.09% 6.63% 6.18% 10.06% 5.46% 6.64% 10.05% 4.71% 4.62% 9.89% 2.69% 3.42% 9.77% 5.64% 4.32% 9.63% 6.81% 7.03% 9.59% 2.38% 3.51% 9.55% 2 / 8
3 2.83% 3.92% 9.53% Credit Suisse (Lux) Portfolio Fund Reddito EUR B AB FCP I - American Income Portfolio A2 Acc (USD) Sparinvest SICAV Securus EUR R UBAM - Multifunds Allocation 30 AC USD R Alizés C EUR LGT Strategy 3 Years B Morgan Stanley Investment Funds - Global Fixed Income Opportunities Fund A (USD) CS Fund 1 - Credit Suisse (CH) Interest & Dividend Focus Yield EUR A Morgan Stanley Investment Funds - Euro Strategic Bond Fund A Goldman Sachs Short Duration Opportunistic Corporate Bond Portfolio Base Shares Accumulation (USD) PIMCO Funds: Global Investors Series plc Diversified Income Duration Hedged Fund E Inc USD Jupiter Global Fund - Jupiter Dynamic Bond Class L EUR Acc Echiquier Patrimoine Candriam Sustainable - Low C Cap Fidelity Funds - Global Income Fund A-Acc-USD Raiffeisen Fonds (CH) - Multi Asset Class Flexible Balanced (CHF) Credit Suisse (Lux) Portfolio Fund Yield EUR B DPAM L - Bonds Universalis Unconstrained B Amundi Funds - Bond Global Aggregate AU-C (USD) Raiffeisen Pension Invest Futura Yield A (CHF) Pictet CH - LPP 25 P dy CHF GAM Multibond - Diversified Income Bond USD B Mirabaud - Global Strategic Bond Fund A USD Inc FISCH MultiAsset MantaPlus Fund AE2 Amundi Funds - Multi Asset Conservative AE-C LU LU LU LU FR LI LU CH LU LU IE00B5MZQB LU FR BE LU CH LU LU LU CH CH LU LU LU LU Natixis International Funds (Dublin) I - Loomis IE00B00P2J79 Sayles Multisector Income Fund R/D(USD) % 3.33% 9.44% 3.36% 5.11% 9.44% 8.39% 8.84% 9.41% 5.54% 8.50% 9.36% 3.62% 4.21% 9.13% 6.32% 6.19% 9.08% 2.63% 3.54% 9.05% 2.88% 2.77% 9.03% 4.60% 4.81% 8.98% 6.93% 8.10% 8.83% 1.73% 1.47% 8.79% 3.59% 4.60% 8.71% 2.36% 3.93% 8.41% 7.87% 6.06% 8.39% 7.30% 9.33% 8.31% 2.64% 4.03% 8.29% -0.69% -1.61% 8.28% 5.09% 4.11% 8.17% 5.03% 5.06% 8.08% 4.75% 5.22% 7.81% 5.31% 4.08% 7.70% 4.52% 4.41% 7.67% 3.18% 2.47% 7.48% 3.79% 3.61% 7.46% 6.56% 5.71% 7.43% 3 / 8
4 LU % 4.50% 7.33% LU % 9.07% 7.25% LU % 1.21% 7.20% White Fleet III - Globes EUR R EUR Man GLG D EUR Acc AB SICAV I - Global Plus Fixed Income Portfolio A2 USD Acc AXA World Funds - Global Strategic Bonds A Capitalisation USD Natixis AM Funds - Natixis Conservative Risk Parity R/D F&C HVB-Stiftungsfonds A Acc CS Investment Funds 1 Credit Suisse (Lux) AgaNola Global Value Bond Fund B USD CPR Invest - Defensive Class A - Dist Swisscanto (LU) Portfolio Fund Yield AT CHF Credit Suisse (Lux) Portfolio Fund Yield USD B Flossbach von Storch - Bond Total Return R Pioneer Funds - Strategic Income A USD ND Swisscanto (CH) Portfolio Fund II - Swisscanto (CH) Portfolio Fund Switzerland 20 AA CHF Swisscanto (LU) Portfolio Fund Green Invest Yield AT CHF Mirabaud - Sérénité A EUR Schroder International Selection Fund Global Unconstrained Bond A USD Acc SGKB (CH) Fund - Strategie Einkommen Plus A (CHF) Swisscanto (CH) Portfolio Fund I - Select AA CHF BCV Strategic Fund FCP - BCV (LUX) Strategy Yield (CHF) FISCH Bond Fund (CHF) AC Raiffeisen Fonds (CH) - Multi Asset Class Flexible Yield (CHF) H & A PRIME VALUES Income (R) EUR A Templeton Global High Yield Fund A(acc)USD Swisscanto (CH) Anlagezielfonds Nachhaltigkeit - Swisscanto (CH) AZF Nachhalt Einkommen AA (CHF) CS Fund 1 - Credit Suisse (CH) Interest & Dividend Focus Yield CHF A Multicooperation SICAV - GAM Multi Asset Strategic Allocation EUR B LU LU LU LU LU LU LU LU LU CH LU LU LU CH CH LU LU CH AT LU CH CH LU % 3.26% 7.18% 2.36% 1.55% 7.09% 3.63% 2.94% 6.92% 2.84% 2.78% 6.90% 0.05% 0.61% 6.53% 5.73% 5.49% 6.49% 6.28% 5.91% 6.31% 2.00% 1.24% 6.30% 3.89% 2.78% 6.20% 3.24% 4.31% 6.20% 6.05% 6.00% 5.89% 3.89% 4.92% 5.81% 2.55% 1.32% 5.71% 6.38% 6.90% 5.70% 4.40% 4.81% 5.68% 4.16% 4.84% 5.60% 0.69% -1.51% 5.45% 4.41% 4.56% 5.34% 1.29% 2.03% 5.09% 5.90% 6.26% 5.05% 4.88% 5.74% 5.01% 4.57% 4.62% 4.94% 2.30% 2.80% 4.94% 4 / 8
5 4.59% 4.97% 4.88% Credit Suisse (Lux) IndexSelection Fund Yield CHF B MFS Meridian Funds - Global Multi-Asset Fund A1 USD DB Platinum IV Systematic Alpha R1C-U (USD) Ethna-DEFENSIV T Schroder Strategy Fund (BVV/LPP) (CHF) BCV Stratégie Revenu Inc (CHF) Credit Suisse (Lux) Portfolio Fund Yield CHF B Credit Suisse (CH) Strategy Fund Conservative CHF A Lord Abbett Short Duration Income Fund Class A USD Accumulating DWS Rendite (Medium) Threadneedle (Lux) - European Strategic Bond Class AE (EUR Accumulation Shares) NN (L) First Class Yield Opportunities - P Cap EUR Franklin Diversified Conservative Fund A(acc)EUR JSS Sustainable Portfolio - Defensive (CHF) P CHF dist Nordea 1 - Flexible Fixed Income Fund BP EUR BIL Patrimonial Low Classique EUR Inc JSS Sustainable Bond - EUR High Grade P EUR acc Franklin Strategic Income Fund A(acc)USD Candriam Bonds Total Return Class C EUR Cap Templeton Global Bond (Euro) Fund A(acc)EUR Swisscanto (LU) Portfolio Fund Green Invest Income AA Ethna-AKTIV A Fidelity Funds - Global Multi Asset Tactical Defensive Fund A-Acc-EUR Schroder International Selection Fund Global Multi- Asset Income A Inc (USD) BCV FONDS STRATEGIQUE - BCV Actif Défensif CHF M&G Global Macro Bond Fund USD A Acc LU LU LU LU CH CH LU CH IE00BFNWXY LU LU LU LU CH LU LU LU LU LU LU LU LU LU LU CH GB00B65PCY % 5.55% 4.83% 3.87% 4.26% 4.76% 2.92% 1.14% 4.75% 5.89% 5.91% 4.63% 4.48% 5.28% 4.36% 4.61% 5.49% 4.34% 3.08% 3.22% 4.28% 1.75% 1.45% 4.27% 0.60% 0.58% 3.98% 1.54% 1.75% 3.95% 3.59% 3.96% 3.92% 1.11% 1.03% 3.87% 4.07% 4.01% 3.79% 1.40% -0.54% 3.68% 2.44% 2.91% 3.10% -0.84% -1.76% 3.09% 3.51% 2.95% 2.68% 0.40% -0.40% 2.67% 0.32% 0.70% 2.65% 0.00% -0.61% 2.49% 5.70% 4.37% 2.45% -6.79% -2.54% 2.44% 3.92% 5.55% 2.40% 3.65% 4.39% 2.40% 3.99% 2.53% 2.19% 5 / 8
6 4.59% 0.35% 2.13% T. Rowe Price Funds SICAV - Global Aggregate Bond Fund A USD OYSTER Multi-Asset Absolute Return EUR C EUR PR Swisscanto (CH) Fonds Frankenertrag AA CHF Legg Mason Brandywine Global Opportunistic Fixed Income Fund Class A USD Acc Templeton Global Total Return Fund A(acc)USD Edmond de Rothschild Fund - QUAM 5 A EUR Candriam Diversified Futures Classique UBAM - Unconstrained Bond APC EUR Carmignac Portfolio Capital Plus A EUR Acc Eurizon Fund - Bond Flexible Class Unit R EUR Accumulation Mirabaud Multi Assets - Cautious A Cap EUR Schroder International Selection Fund Global Multi- Asset Balanced A EUR Acc Vontobel Fund - Bond Global Aggregate B EUR Notenstein La Roche Realo CHF Old Mutual Strategic Absolute Return Bond Fund A EUR Hedged Acc Robeco Global Total Return Bond Fund DH? BlueBay Funds - BlueBay Total Return Credit Fund R - USD Neuberger Berman US Strategic Income Fund A USD Accumulating Class Janus Capital Funds plc - Janus Global Unconstrained Bond Fund A? Acc (Hedged) HSBC Global Investment Funds - Global Bond Total Return Class AC (USD) NAB Portfoliofonds Einkommen A (CHF) M&G Prudent Allocation Fund Euro A Acc JPMorgan Funds - Global Capital Structure Opportunities Fund A (acc) - EUR BlackRock Strategic Funds - Managed Index Portfolios Defensive A2RF EUR Deutsche Invest I Global Bonds Dynamic Plus LC LU LU CH IE00B3QFCM LU LU FR LU LU LU LU LU LU CH IE00BLP58K LU LU IE00B87L2R IE00BLY1N LU CH GB00BV8BTV LU LU LU % 2.39% 2.08% 1.12% 1.28% 1.94% 9.74% 4.22% 1.74% 4.58% 9.09% 1.59% 2.00% 1.65% 1.56% % -6.59% 1.50% 0.57% 0.64% 1.32% 1.63% 2.57% 1.18% 1.38% 0.34% 0.86% 2.31% 3.58% 0.37% 2.68% 2.90% 0.05% 1.44% 0.82% 8.44% 7.96% 5.65% 3.93% 0.10% -0.30% 3.27% 2.76% 6.09% 6.18% 6.01% 8.97% 6.52% 7.36% 2.09% 0.72% 1.94% 2.01% 6 / 8
7 FISCH MultiAsset Manta Fund AC2 (CHF) LU % 0.32% Invesco Funds - Invesco Unconstrained Bond Fund A Accumulation USD Invesco Funds - Invesco Strategic Income Fund A Accumulation USD Schroder GAIA BlueTrend A Acc USD Legg Mason Western Asset Multi-Asset Credit Fund A US$ Dis (M) Plus (e) (USD) Legg Mason GF Legg Mason Western Asset Global Total Return Investment Grade Bond Fund A US$ Dis (USD) White Fleet II - Globes Portfolio Thirty R EUR Acc Vontobel Fund (CH) - Pension Invest Yield A (CHF) BNY Mellon Global Funds PLC - BNY Mellon Targeted Return Bond Fund USD A Acc Franklin Flexible Alpha Bond Fund A(Acc)USD MFS Meridian Funds - Global Opportunistic Bond Fund A2 USD BlackRock Global Funds - Strategic Global Bond Fund A2 USD Deutsche Invest I Global Bonds High Conviction LC JPMorgan Investment Funds - Global Income Conservative Fund A (acc) - EUR AXA World Funds - Global Income Generation A Capitalisation USD Legg Mason Brandywine Global Sovereign Credit Fund A USD Acc CS Investment Funds 4 - Credit Suisse (Lux) Multi- Trend Fund B USD Acc BCV Total Return Bonds (CHF) A Allianz Global Investors Fund - Allianz Global Multi- Asset Credit AT (H2-EUR) Schroder International Selection Fund - Global Credit Income A USD Inc John Hancock Short Duration Credit Opportunities Fund Class A USD Accumulating Lombard Odier Funds - All Roads Conservative PA Nomura Funds Ireland plc Global Dynamic Bond Fund A-ACCU-EUR Hedged Credit Suisse (Lux) Portfolio Fund Global Yield USD B USD LU LU LU IE00BYQ9K IE00BZ3FPT LU CH IE00BYRC8G LU LU LU LU LU LU IE00BZB1X LU CH LU LU IE00BD6G4T LU IE00BTL1FT LU % 3.99% 4.11% 4.55% -2.15% -2.12% 7.25% 6.47% 3.45% 2.22% 2.51% 2.94% 4.98% 5.02% 3.52% 3.93% 1.09% 1.29% 3.47% 2.63% 5.40% 2.01% -1.85% -0.37% 5.07% 8.35% 10.78% 3.53% 1.38% 1.41% 2.15% 7.41% 5.00% 5.56% 7 / 8
8 LU CH % 0.76% -0.04% LU % 0.86% -0.18% AB SICAV I - Global Income Portfolio A2 Acc (USD) BCV FONDS STRATEGIQUE - BCV Actif Sécurité CHF Schroder International Selection Fund Global Multi- Asset Conservative A EUR Acc Templeton Global Bond Fund A(acc)USD Fidelity Funds - Global Strategic Bond Fund A-Acc- USD Parvest Bond World Income Classic-Capitalisation Allianz Suisse - Flexible Fund AT CHF LGT Crown Managed Futures UCITS Sub-Fund - Class B (USD) Vontobel Fund - Target Return Defensive B EUR Investec Global Strategy Fund - Target Return Bond Fund A Acc USD LU LU LU LU IE00B66PKW LU LU % 7.81% -0.40% 5.02% 1.20% -1.17% -0.76% -0.32% -1.24% -0.10% -0.57% -2.73% -5.02% -1.03% -2.98% 2.23% 1.78% -3.00% 0.81% 0.41% -3.05% Oddo BHF Total Return CR-EUR DB Platinum IV Sovereign Plus R1C Threadneedle (Lux) - Global Opportunities Bond Class AU (USD Accumulation Shares) FR LU LU % 1.44% -4.09% -3.52% -2.32% -5.71% 0.39% -0.13% -8.47% Veuillez lire le Disclaimer Fund Lab et tenir compte des restrictions applicables dans certains pays. Copyright Credit Suisse Group AG et/ou ses sociétés affiliées et ses filiales. Tous droits réservés. Conditions d'utilisation, Internet Security, Politique en matière de confidentialité et de cookies et Certification globale Patriot Act. 8 / 8
Performance Nom ISIN / Valeur Style / Distr. YTD 1 an 3 ans HSBC GIF India Fixed Income AC (USD)
Recherche dun fonds Fund Lab Votre recherche a donné 252 fonds avec 970 tranches http://fundlab.credit-suisse.com/ Suisse - Retail Investor 28.12.2017 08:11 Nom ISIN / Valeur Style / Distr. YTD 1 an 3
More informationForeign collective investment schemes Changes - January 2016
Foreign collective investment schemes Changes - January 2016 Approved for distribution in or from Switzerland: Aberdeen Global II US Dollar Credit Bond Fund (F01087824) AXA World Funds Emerging Markets
More informationNETHERLANDS WINNER LIST
NETHERLANDS WINNER LIST GROUP AWARD SIZE COMPANY Bond Large Company BlackRock 2016 THOMSON REUTERS LIPPER FUND AWARDS Bond Small Company T Rowe Price Equity Large Company Comgest Equity Small Company Mirae
More informationForeign collective investment schemes Changes February 2014
Foreign collective investment schemes Changes February 2014 Approved for distribution in or from Switzerland: AMUNDI TRESO 12 MOIS (F01027439) Representative: CACEIS (Switzerland) SA, Nyon : UCITS AMUNDI
More informationLU BALOISE FUND INVEST (LUX) SICAV, LUXEMBOURG SHS -R- / BFI SWISSFRANC BOND (CHF) 0, CH BCV FONDS STRATEGIQ
11487384 LU0513837616 ABERDEEN GLOBAL II SICAV SHS -A-2 / ASIA PACIFIC MULTI ASSET FUND CAP 0,67500 11487327 LU0513834357 ABERDEEN GLOBAL II SICAV, LUXEMBOURG SHS -A-1- / EURO GOVERNMENT BOND FUND 0,33750
More informationIntroducing Fund Manager Rebates
www.davyselect.ie SELECT Introducing Fund Manager s (Excluding Exchange Traded Funds) 26TH APRIL 2017 In the case of all pension and certain trading accounts, Davy will refund to you 100 of any rebates
More informationForeign collective investment schemes Changes - September 2016
Foreign collective investment schemes Changes - September 2016 Approved for distribution in or from Switzerland: Absolute Insight Funds plc (F00163881) Insight Broad Opportunities Fund (F01110091) AIM
More informationForeign collective investment schemes Changes - July 2017
Foreign collective investment schemes Changes - July 2017 Approved for distribution in or from Switzerland: American Century SICAV (F00163891) Emerging Markets Debt Total Return (F01180251) ARGOS FUNDS
More informationInvestment Vehicle Currency Value Date NAV(*) YTD Since Launch Launch Date 2016 (**) 2015 (**) 2014 (**) 2013 (**) 2012 (**) 2011 (**)
Belgium ALLOCATE INVEST - Cou Bond funds Placeuro-A- Bond Euro EUR 15/06/2017 97,2898-1,07 % n/a -0,31 % -5,41 % -0,35 % - - - A-Carmignac Sécurité EUR EUR 16/06/2017 107,1678-0,36 % n/a 0,85 % -0,10 %
More informationRegular Savings Plan. Fund Performance Booklet. Performance Data. Risk Rating
Performance Data This booklet contains a number of different performance measures and time periods to help you assess the fund range. The data used to arrive at the figures shown is provided by Morningstar.
More informationElenco dei Prodotti, degli Strumenti Finanziari, delle Attività e Servizi offerti nella prestazione del Servizio di Collocamento
Elenco dei Prodotti, degli Strumenti Finanziari, delle Attività e Servizi offerti nella prestazione del Servizio di Collocamento Questo documento è consegnato al Cliente alla sottoscrizione del Contratto
More informationSWITZERLAND WINNER LIST
SWITZERLAND WINNER LIST GROUP AWARD SIZE COMPANY Bond Large Company BlackRock 2016 THOMSON REUTERS LIPPER FUND AWARDS Bond Small Company T Rowe Price Equity Large Company Comgest Equity Small Company Seilern
More informationClean Shares - Fund List
Clean Shares - Fund List 08 / 2018 Bâloise Vie Luxembourg Tailor-made solutions for your financial and estate planning strategy www.baloise-international.lu 3 8 Clean Shares - Fund List FUND NAME ISIN
More informationStart of Data. 1 Mth % 3 Mth %
Source - Financial Express. Performance is cumulative percentage growth, except for 5 Year p.a. & p.a. figures which are annualised growth. Figures are on a bid to bid, gross total return basis (i.e. all
More informationLifePlan Policyholder Fund Performance Bulletin as at end of Q3 2016
Commodity & Energy Pictet Water EUR LU0104884860 5 23/07/90 16.29 7.93 15.46 12.15 22.74 167.66 Pictet Water USD LU0255980327 5 23/07/90 17.07-4.63 7.70 17.75 18.62 78.37 Currency/Money Market Aberdeen
More informationLIPPER FUND AWARDS 2015 AUSTRIA WINNER LIST
LIPPER FUND AWARDS 2015 AUSTRIA WINNER LIST GROUP AWARD SIZE COMPANY Bond Large BlackRock Bond Small T Rowe Price Equity Large Standard Life Investments Equity Small Charlemagne Capital Mixed Assets Large
More informationParagon. Fund Performance Booklet. Performance Data. Risk Rating
Performance Data This booklet contains a number of different performance measures and time periods to help you assess the Paragon fund range. The data used to arrive at the figures shown is provided by
More informationStart of Data. 1 Mth % 3 Mth %
Source - Financial Express. Performance is cumulative percentage growth, except for 5 Year p.a. & p.a. figures which are annualised growth. Figures are on a bid to bid, gross total return basis (i.e. all
More informationStart of Data. 3 Months % 6 Months %
Source - Financial Express. Performance is cumulative percentage growth, except for p.a. & p.a. figures which are annualised growth. Figures are on a gross return, bid to bid basis and in the fund currency.
More informationQuantum. Fund Performance Booklet for policies taken out after 6 April Performance Data. Risk Rating
Performance Data This booklet contains a number of different performance measures and time periods to help you assess the Quantum fund range. The data used to arrive at the figures shown is provided by
More informationClean Shares - Fund List
Clean Shares - Fund List 11 / 2017 Bâloise Vie Luxembourg Tailor-made solutions for your financial and estate planning strategy www.baloise-international.lu 3 8 Clean Shares - Fund List FUND NAME ISIN
More informationQuantum Fund List Performance as at 28 February 2011 (for policies taken out after 6 April 2010)
Commodity & Energy BGF World Energy EUR LU0171301533 06/04/01 14.24 33.80 31.88 5.92 17.42-3.26 6.64 24.61 BGF World Energy USD LU0122376428 06/04/01 21.37 45.44 34.27-3.54 36.72-6.46 11.43 28.36 BGF World
More informationEurizon MultiManager Stars Fund
Eurizon MultiManager Stars Fund A Mutual Fund ( Fonds Commun de Placement ) governed by the Law of Luxembourg Subscriptions cannot be accepted on the basis of this financial report. Subscriptions are only
More informationMorningstar Rating Analysis
Morningstar Research February 2016 Morningstar Rating Analysis of European Investment Funds Authors: Nikolaj Holdt Mikkelsen, CFA Ali Masarwah Content Morningstar European Rating Analysis of Investment
More informationProtected Lifestyle Lebanon
Performance Data This booklet contains a number of different performance measures and time periods to help you assess the fund range. The data used to arrive at the figures shown is provided by Morningstar.
More informationPROTECTION FUND GUIDE
PROTECTION FUND GUIDE FEBRUARY 2019 TABLE OF CONTENTS 01 INTRODUCTION 02 CHOOSING YOUR FUNDS 03 ASSESSING RISK 04 MAKE YOUR SELECTION 05 FUND RANGE FOR LIFEPLAN 11 FUND RANGE FOR PROTECTED LIFESTYLE 16
More informationLifePlan Lebanon. Fund Performance Booklet. Performance Data. Risk Rating
Performance Data This booklet contains a number of different performance measures and time periods to help you assess the LifePlan Lebanon fund range. The data used to arrive at the figures shown is provided
More informationMorningstar Rating Analysis
Morningstar Research October 2016 Morningstar Rating Analysis of European Investment Funds Authors: Nikolaj Holdt Mikkelsen, CFA, CIPM Ali Masarwah Content Morningstar European Rating Analysis of Investment
More informationLIPPER GLOBAL CLASSIFICATION BEST FUND FUND NAME COMPANY FUND COUNT
FRANCE WINNER LIST GROUP AWARD SIZE COMPANY Bond Large Company AllianceBernstein 2017 THOMSON REUTERS LIPPER FUND AWARDS Bond Small Company T Rowe Price Equity Large Company First State Equity Small Company
More informationAUGUST Emerging Markets. Pacific ex Japan. Global Property. UK Property BRIC
INDICATOR HOW TO USE INDICATOR The indicator provides investors with a 2-month stock market outlook from a selection of fund groups linked to Old Mutual International. We provided the fund groups with
More informationLIPPER GLOBAL CLASSIFICATION BEST FUND FUND NAME COMPANY FUND COUNT. Absolute Return EUR High 3 Years DJE - Zins & Dividende PA DJE Kapital AG 65
GERMANY WINNER LIST GROUP AWARD SIZE COMPANY Bond Large Company BlackRock 2017 THOMSON REUTERS LIPPER FUND AWARDS Bond Small Company T Rowe Price Equity Large Company First State Equity Small Company Lupus
More informationProtected Lifestyle Lebanon
Performance Data This booklet contains a number of different performance measures and time periods to help you assess the Protected Lifestyle Lebanon fund range. The data used to arrive at the figures
More informationOLD MUTUAL INTERNATIONAL IM
ALL CURRENCIES (,,, ) All percentage growth calculated to 28/2/208 Performance % over one year to end February 208 FEBRUARY 208 Year Years 5 Years 208 207 20 205 204 AMC SFC Managed Solutions available
More informationLIST OF MUTUAL FUNDS Version March 2018
Fund Name ISIN Fund House Currency Share Class AB FCP I American Income Portfolio AB FCP I European Income Portfolio Income / Accumulation Dividend Frequency Asset Class LU0511406216 AllianceBernstein
More informationLIPPER FUND AWARDS 2013 SWITZERLAND WINNERS LIST. Tuesday, 5 February 2013 GROUP AWARD SIZE BEST GROUP COMPANY
LIPPER FUND AWARDS 2013 SWITZERLAND WINNERS LIST Tuesday, 5 February 2013 GROUP AWARD SIZE BEST GROUP COMPANY BOND Large 3 Years PIMCO BOND Small 3 Years Capital at Work EQUITY Large 3 Years First State
More informationForeign collective investment schemes Changes - May 2016
Foreign collective investment schemes Changes - May 2016 Approved for distribution in or from Switzerland: Allianz Global Investors Fund (F00156112) Allianz Advanced Fixed Income Global Aggregate (F01097494)
More informationOLD MUTUAL INTERNATIONAL IM
ALL CURRENCIES (,,, ) All percentage growth calculated to /8/208 Performance % over one year to end August 208 AUGUST 208 Year Years 5 Years 208 207 20 205 204 AMC SFC Managed Solutions available in different
More informationMorningstar Rating Analysis
Morningstar Research January 2018 Morningstar Rating Analysis of European Investment Funds Authors: Nikolaj Holdt Mikkelsen, CFA, CIPM Ali Masarwah Content Morningstar European Rating Analysis of Investment
More informationOLD MUTUAL INTERNATIONAL IM
ALL CURRENCIES (,,, ) All percentage growth calculated to /5/208 Performance % over one year to end May 208 MAY 208 Year Years 5 Years 208 207 20 205 204 AMC SFC Managed Solutions available in different
More informationOLD MUTUAL INTERNATIONAL IM
ALL CURRENCIES (,,, ) All percentage growth calculated to 0/4/208 Performance % over one year to end April 208 APRIL 208 Year Years 5 Years 208 207 20 205 204 AMC SFC Managed Solutions available in different
More informationOLD MUTUAL INTERNATIONAL IM
ALL CURRENCIES (,,, ) All percentage growth calculated to //208 Performance % over one year to end March 208 MARCH 208 Year Years 5 Years 208 207 20 205 204 AMC SFC Managed Solutions available in different
More informationOLD MUTUAL INTERNATIONAL IM
ALL CURRENCIES (,,, ) All percentage growth calculated to //208 Performance % over one year to end January 208 JANUARY 208 Year Years 5 Years 208 207 20 205 204 AMC SFC Managed Solutions available in different
More informationLIPPER FUND AWARDS UNITED KINGDOM WINNER LIST Wednesday, 12 March 2014
LIPPER FUND AWARDS 2014 UNITED KINGDOM WINNER LIST Wednesday, 12 March 2014 GROUP AWARD SIZE BEST GROUP COMPANY Bond Large 3 Years AXA Bond Small 3 Years Marlborough Equity Large 3 Years Cazenove Equity
More informationold mutual international IM
All currencies (,,, ) All percentage growth calculated to 0/0/207 Performance % over one year to end June 207 June 207 Year Years 5 Years 20 205 204 20 202 AMC SFC Managed Solutions available in different
More informationAcademy of Funds. Analytics Report. Click below to view our latest. Quarter Talking Withs. Talking Factsheets.
Quarter 2 2018 For Professional Clients Only Academy of Funds Analytics Report Click below to view our latest Talking Withs Talking Factsheets @SquareMileICR info@squaremileresearch.com squaremileresearch.com
More informationMorningstar Direct SM Asset Flows Commentary: Europe
November 2017 Data through October 31 Morningstar Direct SM Asset Flows Commentary: Europe Demand for European open-end funds rises as allocation and alternative funds rebound By Ali Masarwah, Director,
More informationold mutual international IM
All currencies (,,, ) All percentage growth calculated to /08/207 Performance % over one year to end August 207 August 207 Year Years 5 Years 20 205 204 20 202 AMC SFC Managed Solutions available in different
More informationLIST OF MUTUAL FUNDS Version May 2018
Fund Name ISIN Fund House Currency Share Class Distribution Type Dividend Frequency Asset Class LU0511406216 AllianceBernstein AUD AT AUD H Income Monthly Fixed Income LU0592505407 AllianceBernstein CAD
More informationÜbersicht der kostenfreien Fondssparpläne (gültig ab 01. Juni 2018) Name ISIN Fondstyp Region
1822-Struktur Chance LU0151488029 Dachfonds Welt 1822-Struktur Chance Plus LU0151488458 Aktienfonds Welt Aberdeen Global - EM Infrastru. Equity S Acc Hedged EUR LU0523222866 Aktienfonds Welt Aberdeen Global
More informationQuantum Fund List Performance as at 31 March 2010
Launch 3 Months 6 Months 1 Year 5 Year 10 Year 5 Year Standard Commodity & Energy BGF World Energy EUR 06/04/01 6.43 16.48 40.52-1.52 37.32-6.55 26.09 LU0171301533 BGF World Energy USD 06/04/01 0.13 7.84
More informationOLD MUTUAL INTERNATIONAL IM
s s Year Years 5 Years 208 207 20 205 204 AMC SFC Managed Solutions available in different risk profiles, providing a high level of diversification across multiple asset classes 98570 4 Compass Portfolio
More informationLIPPER FUND AWARDS 2015 UK WINNER LIST
LIPPER FUND AWARDS 2015 UK WINNER LIST GROUP AWARD SIZE COMPANY Bond Large Legal & General Bond Small T Rowe Price Equity Large Robeco Equity Small River and Mercantile Mixed Assets Large Legg Mason Mixed
More informationLIPPER GLOBAL CLASSIFICATION BEST FUND FUND NAME COMPANY FUND COUNT
AUSTRIA WINNER LIST GROUP AWARD SIZE COMPANY Bond Large Company BlackRock 2016 THOMSON REUTERS LIPPER FUND AWARDS Bond Small Company T Rowe Price Equity Large Company Comgest Equity Small Company Seilern
More informationAcademy of Funds. Analytics Report. Click below to view our latest. Quarter Talking Withs. Talking Factsheets.
Quarter 3 2018 For Professional Clients Only Academy of Funds Analytics Report Click below to view our latest Talking Withs Talking Factsheets @SquareMileICR info@squaremileresearch.com squaremileresearch.com
More information10. júlí Sjóður / Fund Sjóðsdeildir / Subfunds Heimaríki / Home State
10. júlí 2018 Erlendir verðbréfasjóðir sem hafa tilkynnt markaðssetningu á Íslandi í samræmi við 43. gr. laga nr. 30/2003 og 14. og 16. gr. reglugerðar nr. 792/2003 Foreign UCITS which have notified their
More information30. janúar Sjóður / Fund Sjóðsdeildir / Subfunds Heimaríki / Home State 1741 Asset Managment Funds SICAV
30. janúar 2018 Erlendir verðbréfasjóðir sem hafa tilkynnt markaðssetningu á Íslandi í samræmi við 43. gr. laga nr. 30/2003 og 14. og 16. gr. reglugerðar nr. 792/2003 Foreign UCITS which have notified
More informationLIPPER GLOBAL CLASSIFICATION BEST FUND FUND NAME COMPANY FUND COUNT. Absolute Return EUR High 3 Years DJE - Zins & Dividende PA DJE Kapital AG 46
EUROPE WINNER LIST GROUP AWARD SIZE COMPANY Bond Large Company BlackRock 2017 THOMSON REUTERS LIPPER FUND AWARDS Bond Small Company T Rowe Price Equity Large Company First State Equity Small Company AS
More informationListe Fonds Externes Annexe Conditions Spécifiques CSFE-LF-PROFOLIO-BEFR-08-14
Liste Fonds Externes Annexe Conditions Spécifiques CSFE-LF-PROFOLIO-BEFR-08-14 2 16 CSFE-LF-PROFOLIO-BEFR-08-14 Liste Fonds Externes Annexe Conditions spécifiques 2 16 3 16 Liste des fonds proposés dans
More informationAlternative Global Macro 3 Years H2O Allegro R(C) H2O AM LLP 17
AUSTRIA WINNER LIST GROUP AWARD SIZE PROMOTER Bond Large Company T. Rowe Price 20 THOMSON REUTERS LIPPER FUND AWARDS Bond Small Company Dr. Kohlhase Equity Large Company AllianceBernstein Equity Small
More informationCUMULATIVE. 3 Months. 6 Months
Base November 20 All percentage growth calculated to /0/ Year Years 5 Years 20 202 20 200 2009 Managed Solutions available in different risk profiles, providing a high level of diversification across multiple
More informationfund range For financial advisers only November 2015
Flexible Investment Account fund range November 2015 For financial advisers only This document was last reviewed in November 2015. Please confirm with your financial adviser that this is the most up-to-date
More informationInvestimenti collettivi di capitale esteri Mutazioni - Marzo 2016
Investimenti collettivi di capitale esteri Mutazioni - Marzo 2016 Approvato alla distribuzione in o partire della Svizzera: Allianz Global Investors Fund (F00156112) Allianz Dynamic Multi Asset Strategy
More informationLIPPER FUND AWARDS 2015
LIPPER FUND AWARDS 2015 Germany WINNER LIST GROUP AWARD SIZE COMPANY Bond Large BlackRock Bond Small T Rowe Price Equity Large Robeco Equity Small Charlemagne Capital Mixed Assets Large Legg Mason Mixed
More informationLIPPER GLOBAL CLASSIFICATION BEST FUND FUND NAME COMPANY FUND COUNT
LIPPER FUND AWARDS 2013 GERMANY WINNERS LIST Thursday, 28 February 2013 GROUP AWARD SIZE BEST GROUP COMPANY Bond Large 3 Years Russell Investments Bond Small 3 Years Fisch Asset Management Equity Large
More informationQuantum. Investment Guide. March 2013
Quantum Investment Guide March 2013 Contents 02 Investment choice for your Quantum 02 and return 03 Fund risk s 04 Managed funds 04 A world of investment choice 05 Fund range overview 13 Fund objectives
More informationForeign collective investment schemes Changes - March, 2008
Foreign collective investment schemes Changes - March, 2008 Approved for distribution in or from Switzerland: Allianz Global Investors Fund - Allianz RCM Asia Pacific Allianz Global Investors Fund - Allianz
More informationUNIT LINKED FUNDS (Elite Life Plan) - Net Asset Value as on 16/05/2017
UNIT LINKED FUNDS (Elite Life Plan) - Net Asset Value as on 16/05/2017 FUND ID ISIN FUND NAMES Fund Category: EQUITY - AGGRESSIVE FUND_A19 LU0011963245 Aberdeen Global Asia Pacific 75.3099 FUND_A21 LU0219441572
More informationSAVINGS AND INVESTMENT FUND GUIDE
SAVINGS AND INVESTMENT FUND GUIDE DECEMBER 2018 TABLE OF CONTENTS 01 INTRODUCTION 02 CHOOSING YOUR FUNDS 03 ASSESSING RISK 04 MAKE YOUR SELECTION 17 FUND OBJECTIVES 33 IT S DOWN TO YOU 34 IMPORTANT INFORMATION
More informationAusländische kollektive Kapitalanlagen Mutationen - Juni 2016
Ausländische kollektive Kapitalanlagen Mutationen - Juni 2016 Zum Vertrieb in oder von der Schweiz aus genehmigt: 1741 Asset Management Funds SICAV (F00156639) Vescore Sustainable Equity EMU Smart Hedging
More informationBenchmark your Global Fund Distribution 2015
Benchmark your Global Fund Distribution 215 Asset Management Evolution of cross-border distribution Number of cross-border funds and registrations 1, 9, 9,436 11% 9,869 5% 1,43 6% 11, 1, Number of cross-border
More information6. maí Sjóður / Fund Sjóðsdeildir / Subfunds Heimaríki / Home State 1741 Asset Managment Funds SICAV
6. maí 2016 Erlendir verðbréfasjóðir sem hafa tilkynnt markaðssetningu á Íslandi í samræmi við 43. gr. laga nr. 30/2003 og 14. og 16. gr. reglugerðar nr. 792/2003 Foreign UCITS which have notified their
More informationMay, 19th UCITS IV to UCITS V
London, 19 May 2011 May, 19th 2011 UCITS IV to UCITS V London roadshow 2011 Panel discussion moderated by: UCITS IV to UCITS V Thomas Seale, CEO, European Fund Administration, and Vice Chairman, ALFI Panelists:
More informationEurizon Manager Selection Fund
Eurizon Manager Selection Fund A Mutual Fund ( Fonds Commun de Placement ) governed by the Law of Luxembourg Subscriptions cannot be accepted on the basis of this financial report. Subscriptions are only
More informationMorningstar Direct SM Asset Flows Commentary: Europe
October 2017 Data through September 30 Morningstar Direct SM Asset Flows Commentary: Europe Inflows to allocation and alternative funds falter in September By Ali Masarwah, Director, EMEA Editorial Research
More informationOLD MUTUAL GLOBAL PORTFOLIOS
Société d' lnvestissement à Capital Variable, with Multiple Sub-Funds Unaudited Semi-Annual Report for the period ended June 30, 2018 R.C.S Luxembourg B 167765 "No subscriptions can be received on the
More informationDistribution snapshots
GLOBAL FUND DISTRIBUTION 2018 Distribution snapshots Target markets for distribution Total number of new registrations Germany 1,302 Cross-border distribution Luxembourg Domicile share of authorisations
More informationLifePlan. Investment Guide. September 2016
LifePlan Investment Guide September 2016 Contents 2 Investment choice for your LifePlan 2 Balancing risk 3 Fund risk s 4 Selecting your funds 5 Fund range overview 10 Fund objectives 15 Important information
More informationEUR 15/06/ ,6331 2,71 % n/a 2,23 % -0,72 % 0,59 % - - -
België ALLOCATE INVEST - Cou Aandelenfondsen CBP-A- Select Sparkling EUR 19/06/2017 28,8709 5,38 % n/a 0,78 % 6,16 % 12,84 % - - - Andbank AM -A- Excellentia Invest Euro EUR 15/06/2017 22,8608 6,57 % n/a
More informationAusländische kollektive Kapitalanlagen Mutationen - Oktober 2018
Ausländische kollektive Kapitalanlagen Mutationen - Oktober 2018 Zum Vertrieb in oder von der Schweiz aus genehmigt: Aberdeen Global (F00156165) Artificial Intelligence Global Equity Fund (F01214231) Belt
More information19. september Sjóður / Fund Sjóðsdeildir / Subfunds Heimaríki / Home State
19. september 2017 Erlendir verðbréfasjóðir sem hafa tilkynnt markaðssetningu á Íslandi í samræmi við 43. gr. laga nr. 30/2003 og 14. og 16. gr. reglugerðar nr. 792/2003 Foreign UCITS which have notified
More informationSupporto Divisa Data Valore NAV(*) YTD Since Launch Launch Date 2016 (**) 2015 (**) 2014 (**) 2013 (**) 2012 (**) 2011 (**)
Belgio ALLOCATE INVEST - Cou Fondi Azionari CBP-A- Select Sparkling EUR 19/06/2017 Andbank AM -A- Excellentia Invest Euro EUR 15/06/2017 Financière de l Echiquier-A- Agressor EUR EUR 15/06/2017 Financière
More informationWhite List of Recommended Funds
White List of Recommended Funds Core holding: Multi-Manager Funds Nedgroup Income Nedgroup Balanced Nedgroup Growth Nedgroup Income Multi A Inc GBP TR in GB Nedgroup Income Multi A Acc D in Nedgroup Balanced
More informationForeign collective investment schemes Changes - June, 2008
Foreign collective investment schemes Changes - June, 2008 Approved for distribution in or from Switzerland: UBS ETF - MSCI EMU Agent 2: AXA ROSENBERG EQUITY ALPHA TRUST - AXA Rosenberg Eurobloc 130/30
More informationProtection. Fund Guide for Lebanon policyholders. September 2017
Protection Fund Guide for Lebanon policyholders September 2017 RL360 Insurance Company Limited (Lebanon Branch) Registered with the Insurance Companies Registry in Lebanon on 29 November 2011 under number
More informationAnnual Report 2013/2014
ab Asset management UBS Funds Annual Report 2013/2014 Investment Company under Luxembourg Law (SICAV) R.C.S. Luxembourg N B 135 728 Audited annual report as of 31 July 2014 Active Allocation Portfolio
More informationOur Packaged Fund Range
For customers Our Packaged Fund Range Our Packaged Fund Range allows you choice when building your portfolio with your adviser, while still offering the comfort of full governance. The charges listed below
More informationFonds en actions internationales large cap/all cap Devise de référence des fonds : EUR
Fonds en actions internationales large cap/all cap Devise de référence des fonds : EUR Classement à fin 03.2017 Classement alphabétique par société de gestion (performances calculées hors frais de gestion,
More informationfund prices Isle of Man funds June 2016
fund prices Isle of Man funds June 2016 Fund s as at the last price available on 31 May 2016. Access to these funds is only available through the Isle of Man product range. This leaflet is for information
More informationFITZ Quarterly Fund Charges
FITZ Quarterly Fund Charges Unique source of fund fees and expenses for cross-border and UK funds. Our data enables detailed and comprehensive fee analysis of any fund product or share class, including
More informationLIFEPLAN LEBANON PROTECTION FUND GUIDE
LIFEPLAN LEBANON LIFEPLAN LEBANON PROTECTION FUND GUIDE JULY 2018 TABLE OF CONTENTS 01 INTRODUCTION 02 CHOOSING YOUR FUNDS 04 MAKE YOUR SELECTION 08 FUND OBJECTIVES 12 IT S DOWN TO YOU 13 IMPORTANT INFORMATION
More informationObservatory for Management Companies 2018 Barometer
www.pwc.lu/management-companies Observatory for Management Companies 2018 Barometer Asset & Wealth Management Community 2 Table of contents Luxembourg Management Companies snapshots...3 PwC ManCo Index...4
More informationLIPPER GLOBAL CLASSIFICATION BEST FUND FUND NAME COMPANY FUND COUNT
NORDICS WINNER LIST GROUP AWARD SIZE COMPANY Bond Large Company BlackRock 2017 THOMSON REUTERS LIPPER FUND AWARDS Bond Small Company T. Rowe Price Equity Large Company First State Equity Small Company
More informationForeign collective investment schemes Changes - July 2014
Foreign collective investment schemes Changes - July 2014 Approved for distribution in or from Switzerland: ABN AMRO Multi-Manager Funds Aristotle US Equities (F01036687) Pzena European Equities (F01036688)
More informationForeign collective investment schemes Changes - May, 2008
Foreign collective investment schemes Changes - May, 2008 Approved for distribution in or from Switzerland: Advance Umbrella Fund plc - Advance Emerging Markets Fund FIRST INDEPENDENT FUND SERVICES, Zürich
More informationBestinvest Top Rated Funds Review
Bestinvest Top Rated Funds Review Bestinvest Top Rated Funds Review Introduction To cater to those seeking investment inspiration online investment service Bestinvest, publish their Premier selection or
More informationClass AA Variable Investment Option Performance Update
Variable Investment Option Performance Update Brighthouse Life Insurance Company of NY The performance data quoted represents past performance and does not guarantee future results. Current performance
More informationFITZ Quarterly Fund Charges
FITZ Quarterly Fund Charges Unique source of fund fees and expenses for cross-border and UK funds. Our data enables detailed and comprehensive fee analysis of any fund product or share class, including
More informationAmundi Fund Solutions
3 ( udited) Amundi Fund Solutions Unaudited semiannual report R.C.S. Luxembourg B 191.464 For the period from 01/01/18 to 30/06/18 No subscriptions can be received on the basis of these financial statements.
More information(LF) Fund of Funds A mutual investment fund organised under the laws of the Grand Duchy of Luxembourg
(LF) Fund of Funds A mutual investment fund organised under the laws of the Grand Duchy of Luxembourg Semi- Annual Report (Non Audited) June 30, 2012 No subscription can be received on the basis of financial
More informationAWARDS 30.86% Average Open Rate 5.01% Average Click Rate. Campaigns in % Average effectiveness
17 348 Campaigns in 2017 30.86% Average Open Rate 5.01% Average Click Rate 16.23% Average effectiveness 17 BEST OPEN RATE CAMPAIGN Fund Group nominees Aviva Investors Baillie Gifford EFG Asset Management
More information