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Funds cap. guarantee: 1

Funds global: 141

Funds hedge: 95

Funds shares: 14.824

Funds in the ranking: 737

*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
31° Schroder ISF Emerging Multi-Asset Income A Dist Schroder ISF Emerging Multi-Asset Income A DistLU1196710351 - Distribute dividends 9.09% (19°) 43.71% (9°) 16.06% (31°) 5.88% (165°) Open overview
and rankings
32° Schroder ISF Emerging Multi-Asset Income A Acc Schroder ISF Emerging Multi-Asset Income A AccLU1196710195 9.09% (21°) 43.71% (10°) 16.05% (32°) 5.89% (164°) Open overview
and rankings
33° Pictet-Emerging Markets Multi Asset-HI dy GBP Pictet-Emerging Markets Multi Asset-HI dy GBPLU2272220778 - Distribute dividends 7.34% (58°) 35.26% (30°) 16.03% (33°) 4.98% (230°) Open overview
and rankings
34° Schroder ISF Emerging Multi-Asset Income A Dist Schroder ISF Emerging Multi-Asset Income A DistLU1469675745 - Distribute dividends 10.09% (6°) 44.21% (8°) 15.86% (34°) 2.85% (449°) Open overview
and rankings
35° Aviva Investors Multi-Asset V Class 2 Acc shares GBP Aviva Investors Multi-Asset V Class 2 Acc shares GBPGB00B7FM5934 7.03% (67°) 28.45% (61°) 15.84% (35°) 9.60% (35°) Open overview
and rankings
36° Neuberger Berman Global Value Fund USD A Accumulating class Neuberger Berman Global Value Fund USD A Accumulating classIE00BSNM7G36 5.51% (127°) 31.50% (43°) 15.72% (36°) 10.65% (23°) Open overview
and rankings
37° Aviva Investors Multi-Asset V Class 1 Acc shares GBP Aviva Investors Multi-Asset V Class 1 Acc shares GBPGB00B4Y26M34 7.01% (68°) 28.15% (62°) 15.58% (37°) 9.36% (37°) Open overview
and rankings
38° Schroder ISF Emerging Multi-Asset Income A1 Dist Schroder ISF Emerging Multi-Asset Income A1 DistLU1196710435 - Distribute dividends 9.04% (22°) 43.00% (13°) 15.48% (38°) 5.36% (200°) Open overview
and rankings
39° Schroder ISF Emerging Multi-Asset Income A1 Acc Schroder ISF Emerging Multi-Asset Income A1 AccLU1201003784 9.04% (23°) 42.99% (14°) 15.48% (39°) 5.36% (201°) Open overview
and rankings
40° Schroder ISF Sustainable Global Growth and Income I Schroder ISF Sustainable Global Growth and Income ILU2352517440 - Distribute dividends 7.39% (55°) 21.44% (126°) 15.41% (40°) - Open overview
and rankings
41° Schroder ISF Sustainable Global Growth and Income I Schroder ISF Sustainable Global Growth and Income ILU2352517366 7.39% (54°) 21.43% (128°) 15.39% (41°) - Open overview
and rankings
42° Schroder ISF Sustainable Global Growth and Income I Schroder ISF Sustainable Global Growth and Income ILU2435146498 - Distribute dividends 7.42% (51°) 21.53% (125°) 15.37% (42°) - Open overview
and rankings
43° Schroder ISF Emerging Multi-Asset Income B Dist Schroder ISF Emerging Multi-Asset Income B DistLU1469675828 - Distribute dividends 10.03% (7°) 43.34% (11°) 15.16% (43°) 2.24% (510°) Open overview
and rankings
44° Schroder ISF Emerging Multi-Asset Income A Dist Schroder ISF Emerging Multi-Asset Income A DistLU1196710864 - Distribute dividends 9.09% (20°) 43.30% (12°) 15.00% (44°) 4.83% (241°) Open overview
and rankings
45° H2O Vivace FCP I/A (EUR) H2O Vivace FCP I/A (EUR)FR0011006220 6.20% (86°) 19.04% (189°) 14.87% (45°) 16.86% (3°) Open overview
and rankings
46° Schroder ISF Sustainable Global Growth and Income S Schroder ISF Sustainable Global Growth and Income SLU2352517796 - Distribute dividends 7.34% (59°) 20.77% (139°) 14.76% (46°) - Open overview
and rankings
47° Neuberger Berman Global Value Fund EUR M Accumulating Class - Hedged Neuberger Berman Global Value Fund EUR M Accumulating Class - HedgedIE00BYNBZH92 6.46% (81°) 31.06% (45°) 14.71% (47°) 6.64% (108°) Open overview
and rankings
48° H2O Vivace FCP H-I/A (USD) H2O Vivace FCP H-I/A (USD)FR0012498004 5.57% (118°) 19.14% (185°) 14.67% (48°) 20.51% (2°) Open overview
and rankings
49° BSF Systematic Style Factor I2 Hedged BSF Systematic Style Factor I2 HedgedLU1532729727 -0.72% (722°) 11.26% (401°) 14.54% (49°) 12.65% (14°) Open overview
and rankings
50° Schroder ISF Sustainable Global Growth and Income C Schroder ISF Sustainable Global Growth and Income CLU2352516632 7.35% (57°) 20.58% (145°) 14.52% (50°) - Open overview
and rankings
51° LGT (Lux) II - ILO Fund I4 CHF LGT (Lux) II - ILO Fund I4 CHFLU1399293221 -0.60% (713°) 16.50% (258°) 14.51% (51°) 7.86% (62°) Open overview
and rankings
52° H2O Vivace FCP R/A (EUR) H2O Vivace FCP R/A (EUR)FR0011015478 6.12% (87°) 18.01% (212°) 14.36% (52°) 16.45% (4°) Open overview
and rankings
53° BSF Systematic Style Factor D2 Hedged BSF Systematic Style Factor D2 HedgedLU1572169370 -0.73% (723°) 11.04% (407°) 14.32% (53°) 12.44% (17°) Open overview
and rankings
54° LGT (Lux) II - ILO Fund I2 CHF LGT (Lux) II - ILO Fund I2 CHFLU0908637209 -0.62% (715°) 16.32% (268°) 14.32% (54°) 0.00% (629°) Open overview
and rankings
55° FF - Global Multi Asset Dynamic Fund Y-ACC-EUR FF - Global Multi Asset Dynamic Fund Y-ACC-EURLU1431864583 7.54% (45°) 30.23% (49°) 14.22% (55°) 6.88% (96°) Open overview
and rankings
56° Pictet-Emerging Markets Multi Asset-HZ EUR Pictet-Emerging Markets Multi Asset-HZ EURLU2317076896 7.47% (48°) 34.68% (34°) 14.18% (56°) 4.26% (299°) Open overview
and rankings
57° AQR Apex UCITS B2 EUR Acc AQR Apex UCITS B2 EUR AccLU1532680458 -2.41% (755°) 5.27% (593°) 14.16% (57°) 13.93% (5°) Open overview
and rankings
58° Aviva Investors Multi-Asset IV Class 3 Acc shares GBP Aviva Investors Multi-Asset IV Class 3 Acc shares GBPGB00B4YV4Q08 5.64% (106°) 23.18% (99°) 14.16% (58°) 8.41% (52°) Open overview
and rankings
59° State Street EMU Index Equity B EUR State Street EMU Index Equity B EURLU1159238119 7.33% (60°) 21.43% (127°) 14.15% (59°) 10.44% (26°) Open overview
and rankings
60° BSF Managed Index Portfolios - Growth Class D5 BSF Managed Index Portfolios - Growth Class D5LU1191063541 - Distribute dividends 7.24% (62°) 26.50% (77°) 14.08% (60°) 7.02% (89°) 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.