Find out how the Funds that interest you placed

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Consult the general ranking: choose from the categories

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Funds shares

Funds cap. guarantee: 1

Funds global: 141

Funds hedge: 95

Funds shares: 14.824

Funds in the ranking: 521

*Ranking updated on 27.04.2026.
The returns are expressed in euros and the values of 3Y and 5Y are annualised.
Select the period to order to return
# Investment company Name of the fund Add to
portfolio
1M Sort 1Y Sort 3Y* 5Y*Sort Product overview
211° Aviva Investors Multi-Strategy Target Return Ryh Acc GBP Aviva Investors Multi-Strategy Target Return Ryh Acc GBPLU1251116965 0.65% (427°) 1.98% (469°) 7.49% (211°) 5.44% (76°) Open overview
and rankings
212° GAM Star Global Growth C Acc Hdg USD GAM Star Global Growth C Acc Hdg USDIE00B8FMPT07 6.48% (45°) 21.48% (76°) 7.49% (212°) 4.10% (179°) Open overview
and rankings
213° Capital Group EM Total Opportunities (LUX) Bgd USD Capital Group EM Total Opportunities (LUX) Bgd USDLU0815116750 - Distribute dividends 2.70% (243°) 13.23% (209°) 7.48% (213°) 3.17% (260°) Open overview
and rankings
214° Capital Group EM Total Opportunities (LUX) B GBP Capital Group EM Total Opportunities (LUX) B GBPLU0533027693 2.47% (274°) 13.12% (215°) 7.47% (214°) 3.10% (268°) Open overview
and rankings
215° Capital Group EM Total Opportunities (LUX) Bd USD Capital Group EM Total Opportunities (LUX) Bd USDLU0533026299 - Distribute dividends 2.70% (242°) 13.11% (216°) 7.46% (215°) 3.16% (262°) Open overview
and rankings
216° Capital Group EM Total Opportunities (LUX) B USD Capital Group EM Total Opportunities (LUX) B USDLU0302646574 2.70% (241°) 13.14% (212°) 7.45% (216°) 3.16% (261°) Open overview
and rankings
217° Aviva Investors Multi-Strategy Target Return Rah Income GBP Aviva Investors Multi-Strategy Target Return Rah Income GBPLU1318336440 - Distribute dividends 0.65% (428°) 1.92% (470°) 7.45% (217°) 5.42% (78°) Open overview
and rankings
218° Aviva Investors Multi-Strategy Target Return Class 9 Acc GBP Aviva Investors Multi-Strategy Target Return Class 9 Acc GBPGB00BP0RT421 0.60% (433°) 2.42% (458°) 7.43% (218°) 5.32% (82°) Open overview
and rankings
219° Aviva Investors Multi-Strategy Target Return Class 2 Acc shares GBP Aviva Investors Multi-Strategy Target Return Class 2 Acc shares GBPGB00BMJ6DT26 0.59% (435°) 2.32% (462°) 7.41% (219°) 5.31% (83°) Open overview
and rankings
220° Fulcrum Diversified Absolute Return I USD ACC Fulcrum Diversified Absolute Return I USD ACCLU1551069302 1.59% (347°) 9.69% (309°) 7.40% (220°) 6.88% (47°) Open overview
and rankings
221° Fulcrum Diversified Absolute Return I USD INC Fulcrum Diversified Absolute Return I USD INCLU1561566479 - Distribute dividends 1.59% (348°) 9.69% (310°) 7.40% (221°) 6.88% (48°) Open overview
and rankings
222° BNY Mellon Global Real Return USD W BNY Mellon Global Real Return USD WIE00B90LS909 2.58% (259°) 16.30% (137°) 7.39% (222°) 5.15% (93°) Open overview
and rankings
223° BNY Mellon Global Real Return USD W Inc. BNY Mellon Global Real Return USD W Inc.IE00B90KZG33 - Distribute dividends 2.58% (260°) 16.29% (138°) 7.39% (223°) 5.15% (94°) Open overview
and rankings
224° GAM Star Global Balanced C Acc Hdg EUR GAM Star Global Balanced C Acc Hdg EURIE00B5SQTM95 5.22% (72°) 16.45% (134°) 7.36% (224°) 1.35% (371°) Open overview
and rankings
225° DB Platinum IV Systematic Alpha I1C-U DB Platinum IV Systematic Alpha I1C-ULU0462954479 0.24% (462°) 20.13% (90°) 7.36% (225°) 10.93% (6°) Open overview
and rankings
226° DB Platinum IV Systematic Alpha I5C-U DB Platinum IV Systematic Alpha I5C-ULU1125015336 0.24% (463°) 20.23% (88°) 7.35% (226°) 10.92% (7°) Open overview
and rankings
227° HSBC Portfolios World Selection 2 BC HSBC Portfolios World Selection 2 BCLU0931136591 2.60% (258°) 11.51% (251°) 7.27% (227°) 0.00% (451°) Open overview
and rankings
228° DB Platinum IV Systematic Alpha R6C-U DB Platinum IV Systematic Alpha R6C-ULU1125015682 0.23% (464°) 20.12% (91°) 7.25% (228°) 10.84% (8°) Open overview
and rankings
229° AXA WF Optimal Income A Cap EUR pf AXA WF Optimal Income A Cap EUR pfLU0179866438 5.11% (82°) 13.50% (205°) 7.24% (229°) 3.26% (247°) Open overview
and rankings
230° AXA WF Optimal Income A Dist EUR pf AXA WF Optimal Income A Dist EUR pfLU0179866354 - Distribute dividends 5.12% (80°) 13.48% (206°) 7.24% (230°) 3.26% (248°) Open overview
and rankings
231° GAM Star Global Balanced C Acc Hdg CHF GAM Star Global Balanced C Acc Hdg CHFIE00B5YJD424 4.38% (122°) 16.40% (135°) 7.24% (231°) 3.50% (229°) Open overview
and rankings
232° Aviva Investors Multi-Strategy Target Return Class 1 Acc shares GBP Aviva Investors Multi-Strategy Target Return Class 1 Acc shares GBPGB00BMTRW090 0.58% (436°) 2.19% (465°) 7.23% (232°) 5.11% (96°) Open overview
and rankings
233° LO Funds - Asia Value Bond, Syst. NAV Hdg, (SGD) P D3 LO Funds - Asia Value Bond, Syst. NAV Hdg, (SGD) P D3LU2112679688 - Distribute dividends 1.93% (314°) 10.27% (293°) 7.16% (233°) 1.01% (390°) Open overview
and rankings
234° LO Funds - Asia Value Bond, Syst. NAV Hdg, (SGD) P A LO Funds - Asia Value Bond, Syst. NAV Hdg, (SGD) P ALU2180905320 1.93% (315°) 10.27% (294°) 7.16% (234°) 1.17% (383°) Open overview
and rankings
235° HSBC UCITS AdvantEdge Sterling H HSBC UCITS AdvantEdge Sterling HIE00BDB5PJ88 0.36% (446°) 7.56% (351°) 7.16% (235°) 0.00% (461°) Open overview
and rankings
236° Pyrford Global Total Return (Sterling) C Stg C Stg Pyrford Global Total Return (Sterling) C Stg C StgIE00BZ0CQJ19 2.01% (308°) 8.62% (335°) 7.14% (236°) 5.01% (99°) Open overview
and rankings
237° BNY Mellon Global Real Return USD C BNY Mellon Global Real Return USD CIE00B504KW82 2.56% (261°) 16.00% (141°) 7.12% (237°) 4.88% (113°) Open overview
and rankings
238° GAM Star Global Balanced C Acc Hdg USD GAM Star Global Balanced C Acc Hdg USDIE00B5VMBV77 4.60% (109°) 16.24% (139°) 7.12% (238°) 3.89% (205°) Open overview
and rankings
239° DB Platinum IV Systematic Alpha R0C-U DB Platinum IV Systematic Alpha R0C-ULU0871988985 0.23% (465°) 19.71% (94°) 7.12% (239°) 10.72% (11°) Open overview
and rankings
240° BNY Mellon Global Real Return (USD) USD G (Acc.) BNY Mellon Global Real Return (USD) USD G (Acc.)IE00BZ1LH388 2.55% (265°) 16.00% (142°) 7.12% (240°) 4.88% (114°) Open overview
and rankings

The data and results are provided by . Click on the individual Funds and read the overview with the expected return and risk indicators.