Ninety One GSF - Global Energy Fund A Inc USD / A0QYGF / LU0345779515
|
100,00 % |
44,12 % |
-5,40 % |
-7,07 % |
25,88 % |
22,74 % |
Ninety One GSF - Global Strategic Managed Fund A Inc USD / A0QYDY / LU0345768740
|
100,00 % |
11,37 % |
5,54 % |
25,99 % |
9,88 % |
10,80 % |
Ninety One GSF - Global Strategic Managed Fund A Acc USD / A0QYDT / LU0345768153
|
100,00 % |
11,37 % |
5,54 % |
25,98 % |
9,88 % |
10,80 % |
Ninety One GSF - American Franchise Fund A Inc USD / A0QYE7 / LU0345774631
|
100,00 % |
13,80 % |
21,03 % |
76,54 % |
16,05 % |
16,35 % |
Ninety One GSF - American Franchise Fund A Acc USD / A0QYE4 / LU0345774391
|
100,00 % |
13,82 % |
21,05 % |
76,57 % |
16,05 % |
16,36 % |
Ninety One GSF - American Franchise Fund C Inc USD / A0QYE8 / LU0345774714
|
100,00 % |
12,95 % |
18,32 % |
70,03 % |
16,04 % |
16,34 % |
Investec GSF - American Franchise Fund F Acc USD / A0QYE5 / LU0345774474
|
100,00 % |
11,67 % |
50,29 % |
78,29 % |
14,54 % |
14,59 % |
Ninety One GSF - American Franchise Fund I Inc USD / A0QYE9 / LU0345774805
|
100,00 % |
14,87 % |
24,49 % |
85,02 % |
16,06 % |
16,37 % |
Ninety One GSF - Global Strategic Managed Fund C Inc USD / A0QYDZ / LU0345768823
|
100,00 % |
10,53 % |
3,18 % |
21,36 % |
9,87 % |
10,79 % |
Ninety One GSF - Global Strategic Managed Fund D Acc USD / A0QYDU / LU0345768310
|
22,00 % |
10,81 % |
3,97 % |
22,88 % |
9,87 % |
10,80 % |
Ninety One GSF - Global Strategic Managed Fund D Inc USD / A0QYD0 / LU0345769045
|
22,00 % |
10,80 % |
3,96 % |
22,88 % |
9,87 % |
10,79 % |
Investec GSF - Global Strategic Managed Fund F Acc USD / A0QYDV / LU0345768401
|
22,00 % |
1,76 % |
11,10 % |
15,08 % |
10,46 % |
10,10 % |
Ninety One GSF - Global Strategic Managed Fund I Acc USD / A0QYDW / LU0345768583
|
100,00 % |
12,43 % |
8,58 % |
32,05 % |
9,88 % |
10,81 % |
Ninety One GSF - Asian Equity Fund A Acc USD / A0QYFK / LU0345775950
|
100,00 % |
24,03 % |
6,15 % |
17,09 % |
15,55 % |
16,08 % |
Ninety One GSF - Asian Equity Fund A Inc USD / A0QYFN / LU0345776255
|
100,00 % |
24,02 % |
6,15 % |
17,10 % |
15,53 % |
16,07 % |
Ninety One GSF - Asian Equity Fund C Inc USD / A0QYFP / LU0345776339
|
100,00 % |
23,11 % |
3,79 % |
12,80 % |
15,52 % |
16,05 % |
Investec GSF - Asian Equity Fund F Acc USD / A0QYFL / LU0345776099
|
100,00 % |
-3,98 % |
6,43 % |
13,22 % |
17,04 % |
16,88 % |
Ninety One GSF - Asian Equity Fund I Acc USD / A0QYFM / LU0345776172
|
100,00 % |
25,24 % |
9,19 % |
22,79 % |
15,57 % |
16,09 % |
Ninety One GSF - European Equity Fund A Acc USD / A0QYFX / LU0345777147
|
100,00 % |
13,08 % |
16,71 % |
29,82 % |
14,41 % |
16,96 % |
Ninety One GSF - European Equity Fund A Inc USD / A0QYF0 / LU0345777659
|
100,00 % |
13,07 % |
16,72 % |
29,81 % |
14,42 % |
16,97 % |
Ninety One GSF - European Equity Fund C Inc USD / A0QYF1 / LU0345777733
|
100,00 % |
12,22 % |
14,13 % |
25,05 % |
14,42 % |
16,96 % |
Investec GSF - European Equity Fund D Inc gross USD / A0QYF2 / LU0345777816
|
22,00 % |
3,65 % |
8,55 % |
72,64 % |
12,42 % |
11,89 % |
Investec GSF - European Equity Fund F Acc USD / A0QYFY / LU0345777493
|
22,00 % |
-4,97 % |
-0,84 % |
4,38 % |
15,88 % |
15,01 % |
Ninety One GSF - Emer. Mrkts Local Curr. Debt Fund A Acc USD / A0QYDL / LU0345767262
|
100,00 % |
4,40 % |
6,38 % |
-0,48 % |
6,33 % |
8,71 % |
Ninety One GSF - Emer. Mrkts Local Curr. Debt Fund A Inc USD / A0QYDQ / LU0345767858
|
100,00 % |
4,36 % |
6,28 % |
-0,53 % |
6,28 % |
8,68 % |
Ninety One GSF - Emer. Mrkts Local Curr. Debt Fund C Inc USD / A0QYDR / LU0345767932
|
100,00 % |
3,64 % |
4,04 % |
-4,13 % |
6,26 % |
8,69 % |
Investec GSF - Emer. Mrkts Local Curr. Debt Fund F Acc USD / A0QYDM / LU0345767346
|
100,00 % |
-3,41 % |
0,27 % |
0,04 % |
11,17 % |
11,35 % |
Investec GSF - Emer. Mrkts Local Curr. Debt Fund F Inc USD / A0QYDS / LU0345768070
|
100,00 % |
-3,38 % |
0,31 % |
0,04 % |
11,17 % |
11,34 % |
Ninety One GSF - Emer. Mrkts Local Curr. Debt Fund I Acc USD / A0QYDN / LU0345767692
|
100,00 % |
5,34 % |
9,41 % |
4,27 % |
6,33 % |
8,71 % |
Ninety One GSF - Emer. Mrkts Local Curr. Debt Fund S Acc USD / A0QYDP / LU0345767775
|
100,00 % |
6,27 % |
12,28 % |
8,87 % |
6,35 % |
8,73 % |
Investec GSF - Euro Money Fund A Acc gross EUR / A0QYBP / LU0345759913
|
100,00 % |
-0,60 % |
-1,06 % |
-0,95 % |
0,07 % |
0,10 % |
Investec GSF - Euro Money Fund A Inc gross EUR / A0QYBS / LU0345760259
|
100,00 % |
-0,60 % |
-1,06 % |
-0,94 % |
0,07 % |
0,10 % |
Investec GSF - Euro Money Fund C Inc gross USD / A0QYBX / LU0345760762
|
100,00 % |
- |
- |
- |
- |
- |
Investec GSF - Euro Money Fund D Acc gross EUR / A0QYBQ / LU0345760093
|
100,00 % |
-0,75 % |
-1,50 % |
-1,69 % |
0,07 % |
0,10 % |
Investec GSF - Euro Money Fund D Inc gross EUR / A0QYBU / LU0345760416
|
100,00 % |
-0,75 % |
-1,50 % |
-1,68 % |
0,07 % |
0,10 % |
Ninety One GSF - Target Return Bond Fund A Acc USD / A0QYB7 / LU0345761810
|
100,00 % |
0,02 % |
13,73 % |
12,55 % |
7,51 % |
6,80 % |
Ninety One GSF - Target Return Bond Fund A Inc USD / A0QYCB / LU0345762206
|
100,00 % |
0,00 % |
13,70 % |
12,54 % |
7,51 % |
6,80 % |
Ninety One GSF - Target Return Bond Fund C Inc USD / A0QYCC / LU0345762388
|
100,00 % |
-0,97 % |
10,24 % |
6,87 % |
7,49 % |
6,79 % |
Investec GSF - Target Return Bond Fund D Inc gross USD / A0QYCD / LU0345762461
|
100,00 % |
3,19 % |
-4,37 % |
8,59 % |
5,32 % |
6,73 % |
Investec GSF - Target Return Bond Fund F Acc USD / A0QYB8 / LU0345761901
|
100,00 % |
2,22 % |
0,38 % |
0,79 % |
5,31 % |
5,52 % |
Ninety One GSF - Target Return Bond Fund F Inc USD / A0QYCE / LU0345762545
|
100,00 % |
- |
- |
- |
- |
- |
Ninety One GSF - Target Return Bond Fund I Acc USD / A0QYB9 / LU0345762032
|
100,00 % |
0,62 % |
15,90 % |
16,24 % |
7,52 % |
6,81 % |
Ninety One GSF - Global Dynamic Fund A Acc USD / A0QYET / LU0345772692
|
100,00 % |
13,23 % |
13,53 % |
51,24 % |
14,67 % |
17,00 % |
Ninety One GSF - Global Dynamic Fund A Inc USD / A0QYEW / LU0345773070
|
100,00 % |
13,23 % |
13,52 % |
51,25 % |
14,67 % |
17,00 % |
Ninety One GSF - Global Dynamic Fund C Inc USD / A0QYEX / LU0345773237
|
100,00 % |
12,11 % |
10,16 % |
43,89 % |
14,66 % |
16,98 % |
Investec GSF - Global Dynamic Fund F Acc USD / A0QYEU / LU0345772858
|
100,00 % |
-3,67 % |
10,97 % |
11,65 % |
18,06 % |
16,00 % |
Ninety One GSF - Global Dynamic Fund I Acc USD / A0QYEV / LU0345772932
|
100,00 % |
14,30 % |
16,76 % |
58,55 % |
14,69 % |
17,02 % |
Ninety One GSF - Global Dynamic Fund S Inc USD / A0QYEZ / LU0345773401
|
100,00 % |
10,62 % |
54,17 % |
66,16 % |
17,24 % |
15,39 % |
Ninety One GSF - Global Natural Resources Fund A Acc USD / A0QYGT / LU0345780950
|
100,00 % |
0,18 % |
37,13 % |
77,18 % |
19,40 % |
22,18 % |
Ninety One GSF - Global Natural Resources Fund A Inc USD / A0QYGX / LU0345781412
|
100,00 % |
0,19 % |
37,14 % |
77,12 % |
19,39 % |
22,13 % |
Ninety One GSF - Global Natural Resources Fund C Inc USD / A0QYGY / LU0345781503
|
100,00 % |
-0,54 % |
34,08 % |
70,63 % |
19,41 % |
22,13 % |
Investec GSF - Global Natural Resources Fund F Acc USD / A0QYGU / LU0345781099
|
100,00 % |
-13,22 % |
1,12 % |
-6,30 % |
21,90 % |
21,86 % |
Ninety One GSF - Global Natural Resources Fund I Acc USD / A0QYGV / LU0345781172
|
100,00 % |
1,13 % |
41,04 % |
85,69 % |
19,45 % |
22,21 % |
Ninety One GSF - Global Natural Resources Fund S Acc USD / A0QYGW / LU0345781255
|
100,00 % |
1,96 % |
44,66 % |
93,76 % |
19,44 % |
22,22 % |
Ninety One GSF - Global Energy Fund A Acc EUR / A0QYGK / LU0345780018
|
100,00 % |
43,98 % |
-5,30 % |
-6,77 % |
25,68 % |
22,74 % |
Ninety One GSF - Global Energy Fund A Acc USD / A0QYGC / LU0345779275
|
100,00 % |
44,16 % |
-5,37 % |
-7,03 % |
25,89 % |
22,72 % |
Ninety One GSF - Global Energy Fund C Inc USD / A0QYGG / LU0345779606
|
100,00 % |
43,05 % |
-7,50 % |
-10,48 % |
25,87 % |
22,73 % |
Investec GSF - Global Energy Fund F Acc USD / A0QYGD / LU0345779358
|
100,00 % |
-26,05 % |
-21,73 % |
-40,60 % |
23,18 % |
23,10 % |
Ninety One GSF - Global Energy Fund I Acc EUR / A0QYGL / LU0345780109
|
100,00 % |
45,42 % |
-2,56 % |
-2,23 % |
25,73 % |
22,78 % |
Ninety One GSF - Global Energy Fund I Acc USD / A0QYGE / LU0345779432
|
100,00 % |
45,49 % |
-2,69 % |
-2,58 % |
25,91 % |
22,77 % |
Ninety One GSF - Global Energy Fund I Inc USD / A0QYGH / LU0345779788
|
100,00 % |
45,52 % |
-2,69 % |
-2,66 % |
25,87 % |
22,73 % |
Ninety One GSF - Global Energy Fund S Inc USD / A0QYGJ / LU0345779945
|
100,00 % |
- |
- |
- |
- |
- |
Ninety One GSF - Global Equity Fund A Acc EUR / A0QYEA / LU0345770134
|
100,00 % |
2,55 % |
39,85 % |
44,65 % |
13,91 % |
16,35 % |
Ninety One GSF - Global Equity Fund A Acc USD / A0QYD1 / LU0345769128
|
100,00 % |
30,83 % |
33,53 % |
75,35 % |
13,58 % |
15,31 % |
Ninety One GSF - Global Equity Fund A Inc USD / A0QYD5 / LU0345769631
|
100,00 % |
30,83 % |
33,53 % |
75,35 % |
13,58 % |
15,31 % |
Ninety One GSF - Global Equity Fund C Inc USD / A0QYD6 / LU0345769714
|
100,00 % |
29,85 % |
30,55 % |
68,90 % |
13,57 % |
15,31 % |
Ninety One GSF - Global Equity Fund D Acc USD / A0QYD2 / LU0345769391
|
100,00 % |
30,21 % |
31,56 % |
71,06 % |
13,57 % |
15,30 % |
Ninety One GSF - Global Equity Fund D Inc USD / A0QYD7 / LU0345769805
|
100,00 % |
30,17 % |
31,53 % |
71,01 % |
13,57 % |
15,31 % |
Investec GSF - Global Equity Fund F Acc USD / A0QYD3 / LU0345769474
|
100,00 % |
1,10 % |
14,67 % |
13,40 % |
16,61 % |
15,21 % |
Ninety One GSF - Global Equity Fund I Inc USD / A0QYD8 / LU0345769987
|
100,00 % |
32,08 % |
37,34 % |
83,79 % |
13,60 % |
15,33 % |
Ninety One GSF - Global Equity Fund S Inc USD / A0QYD9 / LU0345770050
|
100,00 % |
- |
- |
- |
- |
- |
Ninety One GSF - Global Gold Fund A Acc USD / A0QYGM / LU0345780281
|
100,00 % |
14,43 % |
19,83 % |
34,83 % |
28,24 % |
32,49 % |
Investec GSF - Global Strategic Equity Fund F Acc USD / A0QYED / LU0345770480
|
100,00 % |
-3,39 % |
11,95 % |
14,80 % |
17,63 % |
15,92 % |
Investec GSF - Global Gold Fund F Acc USD / A0QYGN / LU0345780364
|
100,00 % |
48,91 % |
78,15 % |
118,54 % |
31,76 % |
36,07 % |
Ninety One GSF - Global Strategic Equity Fund A Acc USD / A0QYEC / LU0345770308
|
100,00 % |
22,66 % |
17,63 % |
55,34 % |
14,82 % |
16,17 % |
Ninety One GSF - U.S. Dollar Money Fund A Acc USD / A0QYBA / LU0345758279
|
100,00 % |
10,55 % |
20,73 % |
18,09 % |
7,35 % |
7,28 % |
Investec GSF - Investm. Grade Corpor. Bond F Acc USD / A0QYCT / LU0345764087
|
100,00 % |
9,04 % |
19,36 % |
24,34 % |
8,01 % |
7,66 % |
Investec GSF - Investm. Grade Corpor. Bond F Inc USD / A0QYCX / LU0345764673
|
22,00 % |
9,05 % |
19,33 % |
24,32 % |
8,01 % |
7,65 % |
Ninety One GSF - Investm. Grade Corpor. Bond F Acc EUR H / A0RNED / LU0412230657
|
22,00 % |
- |
- |
- |
- |
- |
Ninety One GSF - Investm. Grade Corpor. Bond A Acc USD / A0QYCS / LU0345763949
|
22,00 % |
- |
- |
- |
7,37 % |
8,06 % |
Ninety One GSF - Investm. Grade Corpor. Bond A Inc USD / A0QYCV / LU0345764244
|
22,00 % |
- |
- |
- |
7,37 % |
8,06 % |
Ninety One GSF - Investm. Grade Corpor. Bond A Inc EUR H / A0RMN8 / LU0416337789
|
22,00 % |
- |
- |
- |
9,14 % |
8,68 % |
Ninety One GSF - Investm. Grade Corpor. Bond A Inc GBP H / A0RND9 / LU0412230061
|
22,00 % |
- |
- |
- |
11,47 % |
11,25 % |
Ninety One GSF - Investm. Grade Corpor. Bond C Inc USD / A0QYCW / LU0345764590
|
22,00 % |
- |
- |
- |
7,36 % |
8,05 % |
Ninety One GSF - Investm. Grade Corpor. Bond C Inc EUR H / A0RNEA / LU0416337607
|
22,00 % |
- |
- |
- |
9,13 % |
8,67 % |
Investec GSF - Investm. Grade Corpor. Bond D Inc gross USD / A0RNEC / LU0416338084
|
22,00 % |
-4,65 % |
-1,46 % |
21,06 % |
7,36 % |
8,50 % |
Ninety One GSF - Investm. Grade Corpor. Bond I Acc USD / A0QYCU / LU0345764160
|
22,00 % |
- |
- |
- |
7,41 % |
8,09 % |
Investec GSF - Investm. Grade Corpor. Bond S Acc gross USD / A0RNW2 / LU0430081298
|
22,00 % |
6,65 % |
41,23 % |
52,25 % |
9,28 % |
9,00 % |
Investec GSF - Global Strategic Income Fund A Acc gross USD / A0QYCF / LU0345762628
|
22,00 % |
3,10 % |
16,54 % |
26,25 % |
7,80 % |
7,83 % |
Investec GSF - Global Strategic Income Fund A Inc gross USD / A0QYCJ / LU0345763196
|
22,00 % |
3,13 % |
16,53 % |
26,23 % |
7,80 % |
7,84 % |
Investec GSF - Global Strategic Income Fund C Inc gross USD / A0QYCK / LU0345763279
|
22,00 % |
2,10 % |
13,18 % |
20,19 % |
7,80 % |
7,81 % |
Investec GSF - Global Strategic Income Fund F Acc gross USD / A0QYCG / LU0345762891
|
22,00 % |
2,79 % |
15,49 % |
24,39 % |
7,78 % |
7,83 % |
Investec GSF - Global Strategic Income Fund F Inc gross USD / A0QYCL / LU0345763352
|
22,00 % |
2,85 % |
15,48 % |
24,38 % |
7,78 % |
7,82 % |
Investec GSF - Global Strategic Income Fund I Acc gross USD / A0X9KT / LU0440696010
|
22,00 % |
3,87 % |
19,04 % |
30,75 % |
7,78 % |
7,82 % |
Investec GSF - Global Strategic Income Fund S Acc gross USD / A0RD3D / LU0412230814
|
22,00 % |
4,46 % |
21,15 % |
34,88 % |
7,80 % |
7,83 % |
Ninety One GSF - Emer. Mrkts Local Curr. Debt Fund I Acc EUR / A0X9KF / LU0438164971
|
100,00 % |
5,68 % |
8,90 % |
4,61 % |
6,04 % |
8,66 % |
Ninety One GSF - Emer. Mrkts Local Curr. Debt Fund I Inc USD / A0YDBC / LU0473111879
|
100,00 % |
5,29 % |
9,35 % |
4,20 % |
6,31 % |
8,71 % |
Ninety One GSF - Global Natural Resources Fund I Acc EUR / A0REN9 / LU0386384167
|
100,00 % |
1,44 % |
40,36 % |
86,32 % |
19,68 % |
22,33 % |
Ninety One GSF - Sterling Money Fund A Acc GBP / A0QYBJ / LU0345759160
|
100,00 % |
9,25 % |
13,24 % |
12,03 % |
4,29 % |
4,89 % |
Ninety One GSF - European High Yield Bond Fund A Inc EUR / A0QYDE / LU0345766611
|
100,00 % |
- |
- |
- |
8,47 % |
9,51 % |
Ninety One GSF - U.K. Alpha Fund A Acc GBP / A0QYFB / LU0345775018
|
100,00 % |
10,54 % |
14,55 % |
11,62 % |
13,94 % |
15,88 % |
Ninety One GSF - U.K. Alpha Fund A Inc GBP / A0QYFE / LU0345775364
|
100,00 % |
10,58 % |
14,58 % |
11,65 % |
13,98 % |
15,90 % |
Ninety One GSF - Global Franchise Fund A Inc USD / A0RNDJ / LU0426417589
|
100,00 % |
13,28 % |
14,47 % |
49,25 % |
13,98 % |
14,31 % |
Ninety One GSF - European High Yield Bond Fund A Inc GBP / A0RND0 / LU0416338167
|
100,00 % |
- |
- |
- |
11,27 % |
12,88 % |
Ninety One GSF - Latin American Equity Fund I Acc USD / A1CXXM / LU0492943443
|
100,00 % |
-23,41 % |
0,23 % |
-32,97 % |
22,11 % |
29,16 % |
Ninety One GSF - Global Franchise Fund A Acc USD / A0RNDH / LU0426412945
|
100,00 % |
13,28 % |
14,47 % |
49,23 % |
13,97 % |
14,31 % |
Ninety One GSF - Global Gold Fund A Inc USD / A0QYGQ / LU0345780521
|
100,00 % |
14,42 % |
19,85 % |
34,84 % |
28,26 % |
32,50 % |
Ninety One GSF - European Equity Fund A Acc EUR / A0X9JR / LU0440694585
|
100,00 % |
13,41 % |
16,16 % |
30,19 % |
14,55 % |
16,96 % |
Ninety One GSF - Global Franchise Fund I Acc USD / A0RNDM / LU0426422076
|
100,00 % |
14,34 % |
17,75 % |
56,40 % |
13,99 % |
14,32 % |
Ninety One GSF - Global Franchise Fund I Inc USD / A0RNDN / LU0426423470
|
100,00 % |
14,35 % |
17,75 % |
56,42 % |
13,98 % |
14,32 % |
Ninety One GSF - Global Gold Fund I Acc USD / A0QYGP / LU0345780448
|
100,00 % |
15,50 % |
23,31 % |
41,34 % |
28,28 % |
32,52 % |
Ninety One GSF - U.S. Dollar Money Fund A Inc USD / A0QYBE / LU0345758782
|
100,00 % |
10,54 % |
20,72 % |
18,08 % |
7,35 % |
7,28 % |
Ninety One GSF - Global Strategic Equity Fund A Acc EUR / A0QYEL / LU0345771702
|
100,00 % |
23,00 % |
17,10 % |
55,83 % |
15,15 % |
16,36 % |
Ninety One GSF - Global Strategic Equity Fund A Inc USD / A0QYEF / LU0345770993
|
100,00 % |
22,64 % |
17,62 % |
55,32 % |
14,82 % |
16,17 % |
Ninety One GSF - Global Strategic Equity Fund I Acc USD / A0QYEE / LU0345770563
|
100,00 % |
23,79 % |
20,97 % |
62,77 % |
14,83 % |
16,19 % |
Ninety One GSF - Global Strategic Equity Fund I Inc USD / A0QYEJ / LU0345771371
|
100,00 % |
23,81 % |
20,99 % |
62,81 % |
14,84 % |
16,19 % |
Ninety One GSF - European High Yield Bond Fund A Acc GBP H / A0RNDY / LU0416338241
|
100,00 % |
- |
- |
- |
11,31 % |
12,87 % |
Ninety One GSF - Latin American Equity Fund A Acc USD / A1CXXJ / LU0492943104
|
100,00 % |
-23,87 % |
-1,80 % |
-35,18 % |
22,13 % |
29,17 % |
Investec GSF - Enhanced Natural Resources A Acc gross USD / A0YH7Y / LU0459156039
|
100,00 % |
-10,96 % |
1,01 % |
-4,80 % |
14,20 % |
15,13 % |
Ninety One GSF - Asia Pacific Equity Opp. Fund A Acc USD / A1CXW6 / LU0499858602
|
100,00 % |
22,42 % |
3,44 % |
19,10 % |
14,80 % |
16,03 % |
Ninety One GSF - Emer. Mkts Local Curr. Dyn. Debt A Acc USD / A1H7FG / LU0565898300
|
100,00 % |
4,24 % |
6,04 % |
-1,83 % |
6,58 % |
8,55 % |
Ninety One GSF - Emerging Markets Blended Debt A Acc USD / A1H5HG / LU0545564113
|
100,00 % |
10,98 % |
8,08 % |
5,64 % |
6,70 % |
9,04 % |
Ninety One GSF - Emerg. Markets Corporate Debt A Acc USD / A1JJQS / LU0611394940
|
100,00 % |
14,96 % |
7,67 % |
11,81 % |
9,06 % |
10,06 % |
Ninety One GSF - Emerg. Markets Corporate Debt I Acc USD / A1JJQU / LU0611395327
|
22,00 % |
15,90 % |
10,26 % |
16,36 % |
9,06 % |
10,06 % |
Investec GSF - Em. Mrkts Short Duration Fund A Acc gross USD / A1H7RK / LU0565900726
|
22,00 % |
8,67 % |
16,28 % |
4,76 % |
7,58 % |
6,76 % |
Investec GSF - Em. Mrkts Short Duration Fund I Acc gross USD / A1H7RL / LU0565901617
|
22,00 % |
9,38 % |
18,90 % |
8,84 % |
7,59 % |
6,78 % |
Ninety One GSF - Emerging Markets Equity Fund A Acc USD / A1JJQW / LU0611395673
|
22,00 % |
20,07 % |
3,90 % |
14,82 % |
14,20 % |
15,75 % |
Ninety One GSF - Emerging Markets Equity Fund I Acc USD / A1JJQZ / LU0611395913
|
22,00 % |
21,22 % |
6,64 % |
19,65 % |
14,26 % |
15,77 % |
Ninety One GSF - Emer. Mkts Local Curr. Dyn. Debt I Acc USD / A1H7FF / LU0565899027
|
22,00 % |
5,02 % |
8,49 % |
2,02 % |
6,60 % |
8,56 % |
Investec GSF - Enhanced Natural Resources I Acc gross EUR H / A1C6UD / LU0544632861
|
22,00 % |
-17,68 % |
-5,97 % |
-26,39 % |
13,68 % |
15,75 % |
Ninety One GSF - Latin American Corporate Debt A Acc USD / A1CXXC / LU0492942718
|
100,00 % |
13,51 % |
15,08 % |
18,33 % |
6,11 % |
11,03 % |
Ninety One GSF - Latin American Corporate Debt A Inc USD / A1H85C / LU0553431791
|
100,00 % |
13,50 % |
15,12 % |
18,41 % |
6,08 % |
11,02 % |
Ninety One GSF - Latin American Corporate Debt I Acc USD / A1CXXH / LU0492943013
|
100,00 % |
14,58 % |
18,10 % |
23,12 % |
6,12 % |
11,04 % |
Investec GSF - Emerging Markets Blended Debt A Inc gross USD / LU0545564626
|
100,00 % |
10,22 % |
19,92 % |
20,23 % |
9,60 % |
9,25 % |
Ninety One GSF - Emerging Markets Blended Debt S Acc USD / A1W7VU / LU0545567215
|
22,00 % |
12,99 % |
14,08 % |
15,61 % |
6,72 % |
9,05 % |
Ninety One GSF - Emerg. Markets Corporate Debt S Acc USD / A1JJQV / LU0611395590
|
22,00 % |
16,86 % |
13,12 % |
21,42 % |
9,07 % |
10,07 % |
Ninety One GSF - Emerg. Markets Corporate Debt S Acc GBP / A1JGGM / LU0622035284
|
22,00 % |
- |
- |
- |
- |
- |
Investec GSF - Em. Mrkts Short Duration Fund S Acc gross USD / A1H7RP / LU0565902771
|
22,00 % |
- |
- |
- |
- |
- |
Investec GSF - Emerging Markets Equity Fund S Acc gross EUR / A1W7VW / LU0720593010
|
22,00 % |
12,85 % |
34,24 % |
36,61 % |
11,32 % |
13,69 % |
Ninety One GSF - Emerging Markets Equity Fund S Acc GBP / A14PFK / LU0735910407
|
22,00 % |
- |
- |
- |
- |
- |
Ninety One GSF - Emerging Markets Equity Fund S Acc USD / A1JJQ0 / LU0611396051
|
22,00 % |
22,30 % |
9,69 % |
25,79 % |
14,23 % |
15,77 % |
Ninety One GSF - Emerging Markets Equity Fund S Inc AUD / A1JD7C / LU0661274869
|
22,00 % |
-1,00 % |
25,62 % |
40,96 % |
16,71 % |
14,60 % |
Ninety One GSF - Emer. Markets Hard Currency Debt A Inc USD / A1JJQ2 / LU0611396218
|
22,00 % |
17,41 % |
8,98 % |
9,01 % |
11,03 % |
12,18 % |
Investec GSF - Emer. Markets Hard Currency Debt S Acc gr GBP / A1JGGL / LU0622035102
|
22,00 % |
13,50 % |
56,17 % |
67,93 % |
8,81 % |
9,31 % |
Ninety One GSF - Emer. Markets Hard Currency Debt S Acc USD / A1JJQ9 / LU0611397026
|
22,00 % |
19,58 % |
15,12 % |
19,30 % |
11,17 % |
12,28 % |
Investec GSF - Emer. Mkts Local Curr. Dyn. Debt A Inc gr GBP / A1H600 / LU0586577867
|
22,00 % |
8,74 % |
4,70 % |
1,27 % |
11,26 % |
10,59 % |
Investec GSF - Emer. Mkts Local Curr. Dyn. Debt I Inc gr USD / A1JH3N / LU0565899530
|
22,00 % |
-10,18 % |
-9,26 % |
1,20 % |
11,79 % |
10,51 % |
Ninety One GSF - Emer. Mkts Local Curr. Dyn. Debt S Acc USD / A1H7YL / LU0565900213
|
22,00 % |
5,94 % |
11,32 % |
6,56 % |
6,60 % |
8,57 % |
Investec GSF - Emer. Mkts Local Curr. Dyn. Debt S Acc gr GBP / A1H601 / LU0586577941
|
22,00 % |
1,10 % |
2,91 % |
4,16 % |
9,47 % |
10,23 % |
Ninety One GSF - Emer. Mkts Local Curr. Dyn. Debt S Acc EUR / A1H63H / LU0583062400
|
22,00 % |
6,28 % |
10,75 % |
6,78 % |
6,37 % |
8,57 % |
Investec GSF - Enhanced Natural Resources I Acc gross USD / A0YH7Z / LU0459156112
|
22,00 % |
-10,28 % |
3,29 % |
-1,15 % |
14,21 % |
15,12 % |
Investec GSF - Enhanced Natural Resources S Acc gross USD / A0YH70 / LU0464240265
|
22,00 % |
-9,30 % |
6,75 % |
4,44 % |
14,19 % |
15,12 % |
Ninety One GSF - Latin American Corporate Debt I Inc USD / A1JHDQ / LU0649388781
|
22,00 % |
14,58 % |
18,11 % |
23,08 % |
6,08 % |
11,03 % |
Ninety One GSF - Latin American Smaller Compa. C Acc USD / A1J2KH / LU0804467214
|
22,00 % |
0,82 % |
-19,04 % |
-18,90 % |
25,34 % |
29,81 % |
Ninety One GSF - Asia Pacific Equity Opp. Fund A Inc USD / A1CXW7 / LU0499858438
|
100,00 % |
22,34 % |
3,38 % |
19,02 % |
14,79 % |
16,02 % |
Ninety One GSF - Global Energy Fund IX Inc USD / A1J840 / LU0846947975
|
22,00 % |
45,47 % |
-2,78 % |
-2,76 % |
25,88 % |
22,74 % |
Ninety One GSF - Emer. Mkts Local Curr. Dyn. Debt A Acc EUR / A1J0D3 / LU0791647711
|
22,00 % |
4,27 % |
0,64 % |
-1,82 % |
5,97 % |
8,35 % |
Ninety One GSF - Emer. Mkts Local Curr. Dyn. Debt I Acc EUR / A1J0D4 / LU0791647638
|
22,00 % |
5,38 % |
8,09 % |
2,44 % |
6,35 % |
8,57 % |
Ninety One GSF - Global Franchise Fund A Acc EUR / A1J68U / LU0846948197
|
100,00 % |
13,63 % |
13,91 % |
49,66 % |
14,10 % |
14,47 % |
Ninety One GSF - Global Franchise Fund A Acc CHF Hedged / A1KCLJ / LU0869878131
|
100,00 % |
4,47 % |
3,61 % |
38,46 % |
17,05 % |
16,99 % |
Ninety One GSF - Global Energy Fund A Acc SGD Hedged / A1JG10 / LU0638888775
|
100,00 % |
43,88 % |
-5,98 % |
-9,68 % |
28,24 % |
24,06 % |
Ninety One GSF - Global Franchise Fund A Inc EUR / A14PT5 / LU1194092331
|
22,00 % |
13,63 % |
13,92 % |
49,69 % |
14,10 % |
14,46 % |
Ninety One GSF - European Equity Fund A Inc EUR / A14PT4 / LU1194089030
|
100,00 % |
13,42 % |
16,18 % |
30,25 % |
14,54 % |
16,94 % |
Ninety One GSF - All China Equity Fund A Acc USD / A14V3V / LU1251922891
|
100,00 % |
28,22 % |
-15,73 % |
-8,19 % |
24,36 % |
21,10 % |
Investec GSF - Global Franchise Fund S Acc gross USD / A0RNDP / LU0426424361
|
100,00 % |
15,13 % |
34,81 % |
- |
10,06 % |
- |
Ninety One GSF - Global Managed Income Fund A Inc-2 USD / A1W2ZK / LU0953506580
|
22,00 % |
9,30 % |
13,16 % |
17,33 % |
5,49 % |
6,19 % |
Ninety One GSF - Global Quality Dividend Growth A Inc USD / A1H849 / LU0545562505
|
100,00 % |
11,13 % |
11,48 % |
41,29 % |
11,91 % |
12,98 % |
Ninety One GSF - Global Quality Dividend Growth A Acc USD / A14WUZ / LU1228905037
|
100,00 % |
11,13 % |
11,50 % |
41,31 % |
11,91 % |
12,99 % |
Ninety One GSF - European Equity Fund C Acc EUR / A14V3W / LU1251922974
|
22,00 % |
12,55 % |
13,54 % |
25,37 % |
14,53 % |
16,95 % |
Ninety One GSF - European Equity Fund I Inc EUR / A1427P / LU1308393989
|
22,00 % |
17,78 % |
20,55 % |
42,86 % |
14,55 % |
16,97 % |
Ninety One GSF - All China Equity Fund A Inc USD / A142YA / LU1303224171
|
100,00 % |
28,30 % |
-15,66 % |
-8,11 % |
24,36 % |
21,10 % |
Ninety One GSF - Latin American Smaller Compa. A Acc USD / A1J0B4 / LU0767456840
|
22,00 % |
1,72 % |
-16,64 % |
-14,85 % |
25,33 % |
29,83 % |
Ninety One GSF - Global Managed Income Fund A Inc-2 EUR / A2N9CA / LU1910254744
|
22,00 % |
9,62 % |
12,59 % |
17,29 % |
5,59 % |
6,07 % |
Ninety One GSF - Global Managed Income Fund A Inc-2 EUR H / A2ACBT / LU1328179103
|
22,00 % |
1,82 % |
-2,70 % |
-0,20 % |
5,14 % |
5,61 % |
Ninety One GSF - Global Managed Income Fund IX Inc-2 EUR / A2N9CE / LU1910255394
|
22,00 % |
10,33 % |
14,82 % |
21,11 % |
5,58 % |
6,06 % |
Ninety One GSF - Global Managed Income Fund I Acc EUR Hdg / A14TVB / LU1237341810
|
22,00 % |
2,56 % |
-0,49 % |
3,17 % |
5,16 % |
5,63 % |
Ninety One GSF - Global Managed Income Fund IX Inc-2 USD / A1W2ZH / LU0947747993
|
22,00 % |
9,98 % |
15,39 % |
21,19 % |
5,49 % |
6,20 % |
Ninety One GSF - Global Managed Income Fund I Acc USD / A1W9KJ / LU0983164699
|
22,00 % |
10,06 % |
15,55 % |
21,06 % |
5,49 % |
6,19 % |
Ninety One GSF - Global Managed Income Fund I Inc-2 USD / A1W9KH / LU0983164343
|
22,00 % |
10,04 % |
15,53 % |
21,42 % |
5,47 % |
6,18 % |
Ninety One GSF - Global Franchise Fund IX Acc USD / A140Q6 / LU1291088190
|
22,00 % |
14,33 % |
17,64 % |
56,14 % |
14,00 % |
14,32 % |
Ninety One GSF - Global Franchise Fund IX Inc USD / A1J841 / LU0846948270
|
100,00 % |
14,31 % |
17,62 % |
56,12 % |
14,00 % |
14,32 % |
Ninety One GSF - Global Franchise Fund IX Acc EUR / A140Q7 / LU1291088513
|
100,00 % |
14,67 % |
17,05 % |
56,61 % |
14,11 % |
14,48 % |
Ninety One GSF - Global Managed Income Fund IX Acc EUR Hdg / A2DK87 / LU1554042132
|
22,00 % |
2,53 % |
-0,73 % |
2,82 % |
5,18 % |
5,64 % |
Ninety One GSF - Emerging Markets Multi-Asset Fund A Acc USD / A1JQVF / LU0700851271
|
22,00 % |
14,52 % |
3,66 % |
9,13 % |
9,91 % |
11,18 % |
Ninety One GSF - All China Bond Fund A Acc USD / A117ZJ / LU1057755800
|
100,00 % |
12,17 % |
-7,71 % |
3,88 % |
9,02 % |
8,53 % |
Ninety One GSF - Global Environment Fund A Acc EUR / A2PB3E / LU1939256001
|
100,00 % |
9,04 % |
-10,71 % |
46,19 % |
19,13 % |
19,58 % |
Ninety One GSF - Global Environment Fund A Inc EUR / A2PB3G / LU1939256183
|
100,00 % |
9,07 % |
-10,69 % |
46,28 % |
19,13 % |
19,58 % |
Ninety One GSF - Global Quality Equity Fund A Inc USD / A14WUU / LU1255445170
|
22,00 % |
13,26 % |
13,43 % |
45,14 % |
13,88 % |
14,50 % |
Ninety One GSF - Global Environment Fund IX Acc EUR / A2PB3L / LU1939256340
|
22,00 % |
10,06 % |
-8,24 % |
52,92 % |
19,14 % |
19,60 % |
Ninety One GSF - All China Equity Fund I Acc USD / A14TH3 / LU1235249262
|
100,00 % |
29,50 % |
-13,25 % |
-3,73 % |
24,38 % |
21,12 % |
Ninety One GSF - All China Equity Fund I Inc USD / A142YC / LU1303224338
|
22,00 % |
29,42 % |
-13,32 % |
-3,76 % |
24,37 % |
21,11 % |
Ninety One GSF - European Equity Fund I Acc EUR / A0RNCX / LU0386383433
|
22,00 % |
14,49 % |
19,48 % |
36,33 % |
14,55 % |
16,97 % |
Ninety One GSF - Global Environment Fund I Acc EUR / A2PB3J / LU1939255961
|
100,00 % |
10,04 % |
-8,18 % |
53,32 % |
19,15 % |
19,60 % |
Ninety One GSF - Global Gold Fund A Acc EUR Hedged / A2DNCT / LU1578889864
|
22,00 % |
5,87 % |
-1,08 % |
8,05 % |
32,50 % |
35,77 % |
Ninety One GSF - Global Quality Equity Income Fd A Acc EUR / A2DG8E / LU1516331458
|
22,00 % |
3,11 % |
20,87 % |
- |
- |
- |
Ninety One GSF - Global Quality Dividend Growth A Inc-2 USD / A14WU0 / LU1228905540
|
22,00 % |
11,09 % |
11,45 % |
41,29 % |
11,91 % |
12,99 % |
Ninety One GSF - Global Quality Dividend Growth I Inc-2 USD / A140Q8 / LU1291153945
|
22,00 % |
12,18 % |
14,67 % |
48,10 % |
11,93 % |
13,01 % |
Ninety One GSF - Emerg. Markets Corporate Debt A Acc EUR H / A14U6P / LU1241889382
|
22,00 % |
7,06 % |
-8,56 % |
-6,93 % |
11,19 % |
11,62 % |
Ninety One GSF - EM Investment Grade Corp. Debt A Acc USD / A2PUUD / LU2069490071
|
100,00 % |
11,21 % |
3,02 % |
9,65 % |
8,29 % |
- |
Ninety One GSF - Sterling Money Fund A Inc GBP / A0QYBL / LU0345759590
|
100,00 % |
9,25 % |
13,24 % |
12,04 % |
4,29 % |
4,89 % |
Ninety One GSF - Gbl Multi-Asset Sustain. Growth A Acc USD / A1W93V / LU0987174553
|
22,00 % |
5,92 % |
1,94 % |
11,60 % |
8,30 % |
9,10 % |
Ninety One GSF - Global Total Return Credit Fund A Acc USD / A2DUAQ / LU1617705824
|
22,00 % |
13,29 % |
12,53 % |
18,09 % |
7,76 % |
8,59 % |
Ninety One GSF - Emerg. Markets Corporate Debt A Inc-2 USD / A1J4TR / LU0829539492
|
22,00 % |
14,94 % |
7,67 % |
11,76 % |
8,99 % |
10,03 % |
Ninety One GSF - Global Managed Income Fund A Acc USD / A14PE7 / LU0972617095
|
22,00 % |
9,31 % |
13,19 % |
16,97 % |
5,49 % |
6,18 % |
Ninety One GSF - Global Value Equity Fund A Acc USD / A1JQVC / LU0696274553
|
100,00 % |
8,86 % |
39,53 % |
38,64 % |
18,42 % |
27,88 % |
Ninety One GSF - Em. Mkts Loc. Curr. Tot. Ret. Debt IX A USD / A2PZMZ / LU2112458752
|
100,00 % |
4,68 % |
4,65 % |
- |
6,16 % |
- |
Ninety One GSF - Em. Mkts Loc. Curr. Tot. Ret. Debt A A USD / A2PZM3 / LU2112458679
|
22,00 % |
3,75 % |
1,84 % |
- |
6,17 % |
- |
Ninety One GSF - Global Environment Fund A Acc USD / A2PB3F / LU1939255532
|
100,00 % |
8,71 % |
-10,27 % |
45,78 % |
18,89 % |
19,27 % |
Ninety One GSF - Global Environment Fund A Inc USD / A2QPSA / LU2298064838
|
100,00 % |
8,72 % |
-10,26 % |
- |
18,90 % |
- |
Ninety One GSF - EM Investment Grade Corp. Debt I Acc EUR H / A2P9YF / LU2206352796
|
100,00 % |
4,29 % |
-10,26 % |
- |
10,65 % |
- |
Ninety One GSF - Global Macro Allocation Fund A Acc USD / A2JMF6 / LU1821325948
|
100,00 % |
8,67 % |
8,15 % |
27,46 % |
10,18 % |
10,66 % |
Ninety One GSF - Global Macro Allocation Fund I Acc USD / A2JC8H / LU1745457744
|
100,00 % |
9,72 % |
11,24 % |
33,62 % |
10,20 % |
10,66 % |
Ninety One GSF - All China Bond Fund I Acc EUR / A2P63F / LU2189803252
|
100,00 % |
13,38 % |
-6,24 % |
- |
8,65 % |
- |
Ninety One GSF - EM Investment Grade Corp. Debt I Acc USD / A14Z8S / LU1275256334
|
100,00 % |
12,09 % |
5,50 % |
14,02 % |
8,33 % |
8,65 % |
Ninety One GSF - Global Natural Resources Fund IX Inc USD / A1J843 / LU0846948437
|
22,00 % |
1,06 % |
40,82 % |
85,21 % |
19,44 % |
22,17 % |
Ninety One GSF - Global Macro Allocation Fund A Acc EUR Hdg / A2P0CH / LU2121405034
|
22,00 % |
1,09 % |
-7,74 % |
- |
11,98 % |
- |
Ninety One GSF - Global Macro Allocation Fund I Acc EUR Hdg / A2P0CJ / LU2121405117
|
100,00 % |
2,01 % |
-5,08 % |
- |
11,99 % |
- |
Ninety One GSF - All China Bond Fund I Acc USD / A2QD1T / LU2237983064
|
22,00 % |
13,00 % |
-5,72 % |
- |
9,01 % |
- |
Ninety One GSF - All China Bond Fund I Inc-2 EUR Hedged / A3C5L0 / LU2398788229
|
22,00 % |
- |
- |
- |
- |
- |
Ninety One GSF - All China Bond Fund I Inc-2 EUR / A3C5L3 / LU2398788492
|
22,00 % |
-2,72 % |
- |
- |
- |
- |
Ninety One GSF - Global Macro Allocation Fund IX Acc USD / A2JC8J / LU1745457827
|
100,00 % |
9,65 % |
11,08 % |
33,28 % |
10,21 % |
10,67 % |
Ninety One GSF - Emerging Markets Sustain. Equity IX Acc EUR / A3DXME / LU2536488724
|
22,00 % |
21,11 % |
- |
- |
- |
- |
Ninety One GSF - Latin American Smaller Compa. I Inc EUR / A2H9S0 / LU1735824473
|
0,00 % |
2,94 % |
-15,25 % |
-11,83 % |
25,68 % |
30,11 % |
Ninety One GSF - Emerging Markets Sustain. Equity A Acc EUR / A3DXMC / LU2536488567
|
22,00 % |
20,02 % |
- |
- |
- |
- |
Ninety One GSF - Emerging Markets Sustain. Equity I Acc EUR / A3DXMD / LU2536488641
|
22,00 % |
21,19 % |
- |
- |
- |
- |
Ninety One GSF - Emerging Markets Sustain. Equity Z Acc EUR / A3DXMF / LU2536488997
|
22,00 % |
21,83 % |
- |
- |
- |
- |
Ninety One GSF - Global Value Equity Fund I Acc USD / A1JQVE / LU0696274983
|
0,00 % |
9,91 % |
43,49 % |
45,26 % |
18,43 % |
27,90 % |
Ninety One GSF - Emerg. Markets Corporate Debt I Acc EUR H / A14PT2 / LU1190964640
|
0,00 % |
7,91 % |
-6,12 % |
-2,37 % |
11,19 % |
11,60 % |