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Funds at a glance

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1 7

Balanced MultiFund

Class C

Balanced MultiFund

Class C

Income MultiFund Acc

Class C

Income MultiFund Acc

Class C

Income MultiFund Dist

Class C

Income MultiFund Dist

Class C

Global Behavioural Fund

Class C

Risk profile 5

Investment manager

view-icon Fund and fee information

Global Property Fund

Class C

Growth MultiFund

Class C

Growth MultiFund

Class C

Contrarian Value Equity Fund

Class C

Risk profile 6

Investment manager

view-icon Fund and fee information

Global Emerging Markets Equity Fund

Class C

Risk profile 6

Investment manager

view-icon Fund and fee information

Global Emerging Markets Equity Fund

Class C

Risk profile 6

Investment manager

view-icon Fund and fee information

Global Emerging Markets Equity Fund

Class C

Risk profile 6

Investment manager

view-icon Fund and fee information

Global Equity Fund

Class C

Global Equity Fund

Class C

Fund performance as at:

See how a fund has performed over time. This performance depends on the change in value of the underlying assets held in each funds' portfolio. The performance figures below must be read alongside the relevant fact sheet, Data source: © 2017 Morningstar Inc. All rights reserved.

Sort funds by
1 7
1 year 10.63%
3 years 3.53%
5 years 3.74%
7 years -
10 years -
Risk 3
  • Return
  • Performance indicator
Since inception
1 year 9.87%
3 years 1.86%
5 years 2.17%
7 years -
10 years -
Risk 3
  • Return
  • Performance indicator
Since inception
1 year 16.76%
3 years 6.51%
5 years 6.34%
7 years 4.02%
10 years -
Risk 4
  • Return
  • Performance indicator
Since inception
1 year 10.95%
3 years 4.63%
5 years 5.53%
7 years 4.63%
10 years -
Risk 4
  • Return
  • Performance indicator
Since inception
1 year 4.32%
3 years 3.64%
5 years 3.65%
7 years -
10 years -
Risk 4
  • Return
  • Performance indicator
Since inception
1 year 4.14%
3 years 2.41%
5 years 2.61%
7 years 2.3%
10 years -
Risk 4
  • Return
  • Performance indicator
Since inception
1 year 0%
3 years 0%
5 years 0%
7 years 0%
10 years -
Risk 4
  • Return
  • Performance indicator
Since inception
1 year 4.13%
3 years 2.04%
5 years 2.28%
7 years 1.69%
10 years -
Risk 4
  • Return
  • Performance indicator
Since inception
1 year 29.97%
3 years 10.45%
5 years 10.11%
7 years -
10 years -
Risk 5
  • Return
  • Performance indicator
Since inception
1 year -
3 years -
5 years -
7 years -
10 years -
Risk 5
  • Return
  • Performance indicator
Since inception
1 year 41.8%
3 years 11.75%
5 years 10.62%
7 years 7.69%
10 years -
Risk 5
  • Return
  • Performance indicator
Since inception
1 year 40.4%
3 years 9.26%
5 years 8.43%
7 years -
10 years -
Risk 5
  • Return
  • Performance indicator
Since inception
1 year 39.95%
3 years 8.75%
5 years -
7 years -
10 years -
Risk 5
  • Return
  • Performance indicator
Since inception
1 year 25.35%
3 years 7.51%
5 years -
7 years -
10 years -
Risk 5
  • Return
  • Performance indicator
Since inception
1 year 30.77%
3 years 9.78%
5 years 9.85%
7 years -
10 years -
Risk 5
  • Return
  • Performance indicator
Since inception
1 year 20.96%
3 years 7.65%
5 years 9.39%
7 years 7.7%
10 years -
Risk 5
  • Return
  • Performance indicator
Since inception
1 year -
3 years -
5 years -
7 years -
10 years -
Risk 6
  • Return
  • Performance indicator
Since inception