基金名稱 |
基金代碼 |
基金類別 |
收盤日 |
賣價 |
買價 |
單一價 |
一個月 |
三個月 |
六個月 |
年初至今 |
一年 |
三年 |
五年 |
| Eagle Blue Chip |
BCEGL |
Mixed Investment 40- |
2025/10/31 |
|
|
GBP 60.6646 |
4.19 |
4.81 |
14.38 |
7.2 |
10.19 |
22.12 |
26.47 |
| Eagle Money Market |
SEEGL |
Money Market |
2025/10/31 |
|
|
GBP 11.2842 |
0.07 |
0.11 |
-0.51 |
0.51 |
1.6 |
-3.83 |
-12.87 |
| Eagle Performance |
PFEGL |
Mixed Investment 40- |
2025/10/31 |
|
|
GBP 77.6653 |
5.12 |
5.86 |
19 |
9.65 |
13.28 |
33.58 |
50.13 |
| Euro Adventurous |
ADEUR |
Global Equities |
2025/10/31 |
|
|
EUR 7.9722 |
4.21 |
3.7 |
13.9 |
4.47 |
7.72 |
39.5 |
60.87 |
| Euro Blue Chip |
BCEUR |
Mixed Investment 40- |
2025/10/31 |
|
|
EUR 4.5011 |
2.79 |
2.96 |
6.89 |
6.37 |
6.94 |
26.08 |
28.48 |
| Euro Cautious |
CAEUR |
Mixed Investment 20- |
2025/10/31 |
|
|
EUR 3.3209 |
2.27 |
2.62 |
4.73 |
5.07 |
5.59 |
19.06 |
11.78 |
| Euro Defensive |
DEEUR |
Mixed Investment 0-3 |
2025/10/31 |
|
|
EUR 2.5048 |
1.63 |
1.76 |
2.92 |
2.72 |
3.48 |
11.36 |
-4.35 |
| Euro Money Market |
SEEUR |
Money Market |
2025/10/31 |
|
|
EUR 0.8328 |
0.11 |
0.31 |
0.64 |
1.28 |
1.67 |
6.73 |
3.91 |
| Euro Performance |
PFEUR |
Mixed Investment 40- |
2025/10/31 |
|
|
EUR 5.9736 |
3.49 |
3.52 |
9.96 |
7.12 |
8.41 |
33.28 |
49.45 |
| Japanese yen Money Market |
SEJPY |
Money Market |
2025/10/31 |
|
|
JPY 115.0991 |
-0.03 |
-0.15 |
-0.3 |
-0.56 |
-0.74 |
-2.97 |
-5.14 |
| Sterling Adventurous |
ADGBP |
Global Equities |
2025/10/31 |
|
|
GBP 12.4017 |
4.61 |
4.74 |
17.45 |
9.12 |
12.41 |
40.34 |
61.15 |
| Sterling Blue Chip |
BCGBP |
Mixed Investment 40- |
2025/10/31 |
|
|
GBP 7.6759 |
3.4 |
3.08 |
8.76 |
7.77 |
8.62 |
22.05 |
19.33 |
| Sterling Cautious |
CAGBP |
Mixed Investment 20- |
2025/10/31 |
|
|
GBP 3.1286 |
3.11 |
2.74 |
6.22 |
6.3 |
6.43 |
13.42 |
0.02 |
| Sterling Defensive |
DEGBP |
Mixed Investment 0-3 |
2025/10/31 |
|
|
GBP 2.2820 |
2.96 |
2.54 |
4.21 |
4.84 |
4.44 |
5.43 |
-16.08 |
| Sterling Money Market |
SEGBP |
Currency Funds |
2025/10/31 |
|
|
GBP 3.2703 |
0.29 |
0.85 |
1.75 |
3.05 |
3.75 |
12.28 |
11.65 |
| Sterling Performance |
PFGBP |
Mixed Investment 40- |
2025/10/31 |
|
|
GBP 10.4387 |
3.83 |
3.69 |
12.37 |
9.17 |
11.01 |
31.25 |
41.63 |
| US dollar Adventurous |
ADUSD |
Global Equities |
2025/10/31 |
|
|
USD 9.5466 |
2.8 |
5.57 |
16.42 |
17.35 |
16.29 |
63.83 |
56.49 |
| US dollar Blue Chip |
BCUSD |
Mixed Investment 40- |
2025/10/31 |
|
|
USD 10.5242 |
2.2 |
4.31 |
13.37 |
11.45 |
11.45 |
38.39 |
36.58 |
| US dollar Cautious |
CTUSD |
Mixed Investment 20- |
2025/10/31 |
|
|
USD 3.6308 |
1.49 |
3.54 |
9.44 |
9.08 |
8.77 |
27.05 |
17.76 |
| US dollar Defensive |
DFUSD |
Mixed Investment 0-3 |
2025/10/31 |
|
|
USD 2.4639 |
1.1 |
3.05 |
5.68 |
7.46 |
6.72 |
18.28 |
1.76 |
| US dollar Money Market |
SEUSD |
Money Market |
2025/10/31 |
|
|
USD 2.3871 |
0.29 |
0.9 |
1.83 |
3.05 |
3.73 |
13.21 |
12.76 |
| US dollar Performance |
PFUSD |
Mixed Investment 40- |
2025/10/31 |
|
|
USD 12.1691 |
2.99 |
5.48 |
16.88 |
14.98 |
14.82 |
51.29 |
55.11 |
| ZI abrdn SICAV I All China Sustainable Equity |
ASUSD |
Asia Pacific excludi |
2025/10/31 |
|
|
USD 3.2902 |
-1.9 |
12.3 |
27.25 |
33.48 |
28.29 |
45.4 |
-25.15 |
| ZI abrdn SICAV I Asia Pacific Sustainable Equity |
ARUSD |
Asia Pacific excludi |
2025/10/31 |
|
|
USD 4.0977 |
5.73 |
12.45 |
28.99 |
21.79 |
18.43 |
46.6 |
11.84 |
| ZI abrdn SICAV I Asian Smaller Companies |
9EUSD |
Asia Pacific excludi |
2025/10/31 |
|
|
USD 2.2185 |
3.25 |
10.38 |
26.55 |
19.8 |
19.62 |
70.23 |
49.01 |
| ZI abrdn SICAV I Global Innovation Equity |
ATUSD |
Global Equities |
2025/10/31 |
|
|
USD 1.5979 |
2.27 |
8.77 |
21.47 |
9.49 |
10.8 |
53.72 |
2.67 |
| ZI Aditum Global Discovery |
USDD6 |
Mixed Investment 40- |
2025/10/31 |
|
|
USD 1.6369 |
2.37 |
7.79 |
14.48 |
15.38 |
11.92 |
34.05 |
0 |
| ZI Allianz Oriental Income |
KNUSD |
Asia Pacific includi |
2025/10/31 |
|
|
USD 6.7742 |
2.39 |
8.33 |
31.73 |
30.35 |
20.82 |
68.76 |
45.11 |
| ZI Allianz Total Return Asian Equity |
BZUSD |
Asia Pacific excludi |
2025/10/31 |
|
|
USD 3.4938 |
4.69 |
13.45 |
29.31 |
30.77 |
24.98 |
64.62 |
1.58 |
| ZI Ashoka WhiteOak India Opportunities |
USDT3 |
Global Emerging Mark |
2025/10/31 |
|
|
USD 1.3511 |
4.4 |
2.16 |
2.91 |
-2.38 |
-2.36 |
0 |
0 |
| ZI Barings ASEAN Frontiers |
USDDH |
Asia Pacific excludi |
2025/10/31 |
|
|
USD 1.7786 |
1.81 |
4.97 |
16.16 |
12.04 |
8.6 |
29.42 |
29.7 |
| ZI Barings Developed and Emerging Markets High Yield Bond |
NBUSD |
Global High Yield |
2025/10/31 |
|
|
USD 4.1988 |
0.01 |
1.34 |
4.79 |
5.51 |
5.94 |
31.13 |
20.66 |
| ZI Barings Eastern Europe |
USDK9 |
Global Emerging Mark |
2025/10/31 |
|
|
USD 4.6033 |
2.81 |
3.15 |
18.76 |
39.18 |
41.24 |
0 |
0 |
| ZI Barings Eastern Europe SP |
NAUSD |
Global Emerging Mark |
2025/10/31 |
|
|
USD 0.0100 |
0 |
0 |
0 |
0 |
0 |
-99.73 |
-99.81 |
| ZI Barings German Growth Trust |
KKEUR |
Europe excluding UK |
2025/10/31 |
|
|
EUR 3.0341 |
0.13 |
-2.7 |
4.99 |
20.41 |
23.66 |
63.37 |
98.46 |
| ZI Barings Hong Kong China |
BXUSD |
Asia Pacific excludi |
2025/10/31 |
|
|
USD 1.6968 |
-1.12 |
9.8 |
22.88 |
31.87 |
24.96 |
55.33 |
-21.47 |
| ZI BlackRock GF Emerging Europe EUR SP* |
MLEUR |
Global Emerging Mark |
2025/10/31 |
|
|
EUR 0.0100 |
0 |
0 |
0 |
0 |
0 |
-98.77 |
-99.2 |
| ZI BlackRock GF Emerging Europe USD SP* |
MKUSD |
Global Emerging Mark |
2025/10/31 |
|
|
USD 0.0100 |
0 |
0 |
0 |
0 |
0 |
-98.3 |
-98.93 |
| ZI BlackRock GF Emerging Markets Ex-China USD |
USDR9 |
Global Emerging Mark |
2025/10/31 |
|
|
USD 0.8671 |
6.92 |
12.64 |
23.27 |
21.24 |
14.2 |
0 |
0 |
| ZI BlackRock GF European Value |
MCEUR |
Europe including UK |
2025/10/31 |
|
|
EUR 2.2175 |
3.18 |
2.7 |
11.02 |
18.13 |
15.54 |
54.68 |
105.19 |
| ZI BlackRock GF Global Allocation EUR |
BHEUR |
Mixed Investment 40- |
2025/10/31 |
|
|
EUR 3.6988 |
3.31 |
4.55 |
12.78 |
3.95 |
7.08 |
22.72 |
38.13 |
| ZI BlackRock GF Global Allocation SGD |
ALSGD |
Mixed Investment 40- |
2025/10/31 |
|
|
SGD 2.9295 |
1.52 |
4.7 |
12.74 |
12.98 |
11.31 |
33.99 |
27.61 |
| ZI BlackRock GF Global Allocation USD |
ERUSD |
Mixed Investment 40- |
2025/10/31 |
|
|
USD 3.3656 |
1.81 |
5.52 |
14.41 |
15.6 |
14.23 |
42.42 |
36.85 |
| ZI BlackRock GF Global Government Bond |
ALEUR |
Global Fixed Interes |
2025/10/31 |
|
|
EUR 1.3545 |
0.66 |
1.22 |
0.77 |
1.78 |
1.22 |
2.71 |
-17.24 |
| ZI BlackRock GF Global Government Bond |
BPUSD |
Global Fixed Interes |
2025/10/31 |
|
|
USD 1.6691 |
0.89 |
1.9 |
2.04 |
3.68 |
3.38 |
9.54 |
-9.3 |
| ZI BlackRock GF Japan Small and MidCap Opportunities |
MCUSD |
Japan Equities |
2025/10/31 |
|
|
USD 2.1907 |
-3.24 |
6.55 |
15.84 |
23.27 |
27.32 |
59.66 |
25.87 |
| ZI BlackRock GF Latin American |
MIUSD |
Global Emerging Mark |
2025/10/31 |
|
|
USD 2.0686 |
-0.1 |
12.72 |
15.44 |
42.96 |
19.7 |
25.12 |
54.21 |
| ZI BlackRock GF Sustainable Energy |
MEUSD |
Commodity/Energy |
2025/10/31 |
|
|
USD 2.8581 |
6.02 |
12.37 |
37.69 |
32.2 |
22.09 |
43.52 |
48.15 |
| ZI BlackRock GF Systematic Global Equity High Income |
FIUSD |
Global Equities |
2025/10/31 |
|
|
USD 2.2717 |
0.06 |
1.7 |
9.8 |
10.94 |
10.1 |
52.15 |
60.15 |
| ZI BlackRock GF United Kingdom |
CHGBP |
UK All Companies |
2025/10/31 |
|
|
GBP 2.7323 |
4.35 |
3.23 |
10 |
10.83 |
10.59 |
42.44 |
32.21 |
| ZI BlackRock GF US Flexible Equity |
MAUSD |
North America Equiti |
2025/10/31 |
|
|
USD 5.8250 |
3.72 |
11.16 |
36.62 |
26.15 |
26.74 |
74.73 |
105.39 |
| ZI BlackRock GF World Energy |
MHUSD |
Commodity/Energy |
2025/10/31 |
|
|
USD 1.8371 |
-2.1 |
1.1 |
8.6 |
7.21 |
2.89 |
8.08 |
193.33 |
| ZI BlackRock GF World Financials |
MJUSD |
Specialist |
2025/10/31 |
|
|
USD 2.8207 |
-0.55 |
1.78 |
28.11 |
31.65 |
36 |
120.85 |
167.06 |
| ZI BlackRock GF World Gold SGD Hedged |
AOSGD |
Commodity/Energy |
2025/10/31 |
|
|
SGD 2.0462 |
-4.28 |
33.76 |
42.69 |
101.18 |
67.08 |
168.39 |
62.78 |
| ZI BlackRock GF World Gold USD |
MDUSD |
Commodity/Energy |
2025/10/31 |
|
|
USD 10.7067 |
-3.96 |
34.67 |
44.97 |
106.17 |
72.01 |
188.96 |
77.89 |
| ZI BlackRock GF World Healthscience EUR |
MDEUR |
Specialist |
2025/10/31 |
|
|
EUR 2.3204 |
6.97 |
5.31 |
2.6 |
-4.84 |
-7.99 |
-2.66 |
28.03 |
| ZI BlackRock GF World Healthscience USD |
ONUSD |
Specialist |
2025/10/31 |
|
|
USD 6.7768 |
5.41 |
6.28 |
4.1 |
5.82 |
-1.84 |
12.96 |
26.84 |
| ZI BlackRock GF World Mining |
MGUSD |
Commodity/Energy |
2025/10/31 |
|
|
USD 3.4136 |
0.19 |
23.38 |
34.1 |
46.21 |
25.27 |
48.27 |
84.67 |
| ZI BlackRock GF World Mining SGD |
AASGD |
Commodity/Energy |
2025/10/31 |
|
|
SGD 2.2287 |
-0.07 |
22.56 |
32.31 |
42.8 |
21.66 |
37.89 |
68.48 |
| ZI BlackRock GF World Technology EUR |
FLEUR |
Specialist |
2025/10/31 |
|
|
EUR 17.1713 |
7.65 |
13.54 |
40.46 |
13.86 |
20.67 |
104.33 |
79.14 |
| ZI BlackRock GF World Technology USD |
K2USD |
Specialist |
2025/10/31 |
|
|
USD 13.4464 |
6.1 |
14.6 |
42.5 |
26.64 |
28.73 |
137.18 |
77.46 |
| ZI BlackRock SF Managed Index Portfolios Conservative |
USDWP |
Mixed Investment 0-3 |
2025/10/31 |
|
|
USD 1.7280 |
1.9 |
4.54 |
10.04 |
8.17 |
9.14 |
31.29 |
27.91 |
| ZI BlackRock SF Managed Index Portfolios Defensive |
USDWL |
Mixed Investment 0-3 |
2025/10/31 |
|
|
USD 1.4776 |
1.11 |
2.92 |
4.99 |
6.03 |
6.29 |
19.14 |
10.12 |
| ZI BlackRock SF Managed Index Portfolios Growth |
USDWK |
Mixed Investment 40- |
2025/10/31 |
|
|
USD 2.2792 |
3.51 |
7.3 |
19.07 |
11.43 |
13.47 |
49.59 |
62.66 |
| ZI BlackRock SF Managed Index Portfolios Moderate |
USDWM |
Mixed Investment 20- |
2025/10/31 |
|
|
USD 1.8696 |
2.24 |
5.06 |
11.87 |
8.87 |
10.05 |
34.44 |
39.16 |
| ZI BNP Paribas Funds Brazil Equity |
4TUSD |
Global Emerging Mark |
2025/10/31 |
|
|
USD 0.6063 |
0.21 |
16.46 |
16.98 |
43.71 |
19.75 |
4.62 |
15.93 |
| ZI BNP Paribas Funds Emerging Bond Opportunities |
KAUSD |
Global Fixed Interes |
2025/10/31 |
|
|
USD 1.7037 |
0.68 |
4.38 |
9.37 |
14.42 |
11.83 |
42.32 |
5.68 |
| ZI BNP Paribas Funds Russia Equity* |
KHEUR |
Global Emerging Mark |
2025/10/31 |
|
|
EUR 1.0647 |
-0.07 |
-0.19 |
-0.37 |
-0.63 |
-0.75 |
-2.22 |
-23.26 |
| ZI BNP Paribas Islamic Equity Optimiser |
USDGR |
Global Equities |
2025/10/31 |
|
|
USD 2.7345 |
4.17 |
7.93 |
19.81 |
14.76 |
15.37 |
73.31 |
77.69 |
| ZI BNY Mellon Multi-Asset Diversified Return |
LNGBP |
Specialist |
2025/10/31 |
|
|
GBP 3.0510 |
2.4 |
3.81 |
12.78 |
12.77 |
11.58 |
21.77 |
32.12 |
| ZI Canaccord Genuity Balanced |
USDDJ |
Mixed Investment 20- |
2025/10/31 |
|
|
USD 1.9409 |
1.63 |
4.16 |
10.74 |
9.81 |
8.12 |
33.9 |
20.22 |
| ZI Canaccord Genuity Growth |
USDDK |
Mixed Investment 40- |
2025/10/31 |
|
|
USD 2.2752 |
2.36 |
5.23 |
14.21 |
11.37 |
9.75 |
40.77 |
28.64 |
| ZI Canaccord Genuity Opportunity |
USDDL |
Mixed Investment 40- |
2025/10/31 |
|
|
USD 2.4243 |
1.87 |
5.58 |
14.28 |
13.36 |
12.7 |
46.29 |
37.24 |
| ZI CT (Lux) American |
USDXU |
North America Equiti |
2025/10/31 |
|
|
USD 3.0833 |
3.47 |
6.77 |
23.81 |
16.04 |
16.97 |
63.34 |
88.36 |
| ZI CT (Lux) American Smaller Companies |
USDXX |
North America Equiti |
2025/10/31 |
|
|
USD 2.5415 |
-1.75 |
3.89 |
15.09 |
-2.77 |
-2.73 |
29.23 |
63.45 |
| ZI CT (Lux) Asia Equities |
USDYF |
Asia Pacific excludi |
2025/10/31 |
|
|
USD 1.8770 |
5.1 |
12.54 |
28.51 |
29.3 |
25.28 |
59.45 |
13.85 |
| ZI CT (Lux) Enhanced Commodities |
9XUSD |
Commodity/Energy |
2025/10/31 |
|
|
USD 1.8329 |
1.29 |
4.65 |
7.38 |
11.4 |
11.75 |
10.24 |
68.95 |
| ZI CT (Lux) European Smaller Companies |
VEEUR |
Europe excluding UK |
2025/10/31 |
|
|
EUR 1.7668 |
1.2 |
-1.12 |
11.48 |
7.12 |
4.94 |
26.86 |
17.28 |
| ZI CT (Lux) Global Select |
USDYJ |
Global Equities |
2025/10/31 |
|
|
USD 2.5326 |
2 |
3.11 |
17.81 |
12.91 |
11.74 |
70.89 |
56.53 |
| ZI CT (Lux) Pan European Equities |
UXEUR |
Europe including UK |
2025/10/31 |
|
|
EUR 2.1505 |
4.13 |
5.1 |
11.31 |
11.55 |
11.02 |
47.24 |
71.14 |
| ZI CT (Lux) Sustainable Global Equity Income |
USDXY |
Global Equities |
2025/10/31 |
|
|
USD 2.0149 |
1.82 |
1.86 |
11.91 |
12.61 |
9.67 |
44.47 |
61.81 |
| ZI CT Emerging Market Bond |
EBUSD |
Global High Yield |
2025/10/31 |
|
|
USD 6.8279 |
1.96 |
4.99 |
9.36 |
11.04 |
10.17 |
38.44 |
7.36 |
| ZI CT European Bond |
BNEUR |
Global Fixed Interes |
2025/10/31 |
|
|
EUR 1.8179 |
0.86 |
0.69 |
0.62 |
0.87 |
0.69 |
3.96 |
-19.41 |
| ZI CT Global Bond |
IBUSD |
Global Fixed Interes |
2025/10/31 |
|
|
USD 1.7240 |
-0.73 |
1.38 |
0 |
5.88 |
2.47 |
5.25 |
-26.55 |
| ZI CT Global Select |
GMGBP |
Global Equities |
2025/10/31 |
|
|
GBP 4.3367 |
5.22 |
5.32 |
21.25 |
7.87 |
11.06 |
53.05 |
56.47 |
| ZI CT Japan |
EQJPY |
Japan Equities |
2025/10/31 |
|
|
JPY 299.9297 |
6.59 |
12.18 |
25.06 |
18.53 |
24.49 |
96.1 |
121.03 |
| ZI CT Latin America |
LAUSD |
Global Emerging Mark |
2025/10/31 |
|
|
USD 5.2710 |
1.4 |
13.66 |
15.98 |
36.2 |
20.14 |
30.2 |
38.06 |
| ZI CT Sterling Bond |
BNGBP |
UK Gilts |
2025/10/31 |
|
|
GBP 2.6382 |
2.69 |
2.16 |
1.99 |
4.05 |
1.22 |
-1.4 |
-29.83 |
| ZI CT UK |
EQGBP |
UK All Companies |
2025/10/31 |
|
|
GBP 7.3492 |
4.04 |
3.23 |
11.04 |
9.12 |
7.56 |
34.58 |
55.85 |
| ZI CT UK Smaller Companies |
SCGBP |
UK Smaller Companies |
2025/10/31 |
|
|
GBP 11.8310 |
0.26 |
0.57 |
15.81 |
4.94 |
1.92 |
20.79 |
9.87 |
| ZI CT US Dollar Bond |
BNUSD |
Global Fixed Interes |
2025/10/31 |
|
|
USD 2.5948 |
0.53 |
2.38 |
3.44 |
6.13 |
4.49 |
14.61 |
-5.86 |
| ZI dVAM Balanced Active PCP USD |
USDWF |
Mixed Investment 20- |
2025/10/31 |
|
|
USD 1.7023 |
3.08 |
5.44 |
13.04 |
9.28 |
11.02 |
28.33 |
25.81 |
| ZI dVAM Global Equity Income PCP GBP |
7UGBP |
Global Equities |
2025/10/31 |
|
|
GBP 2.1621 |
3 |
2.25 |
9.5 |
2.71 |
3.6 |
30.14 |
69.79 |
| ZI dVAM Global Equity Income PCP USD |
USDYQ |
Global Equities |
2025/10/31 |
|
|
USD 2.2129 |
1.77 |
1.58 |
8.26 |
8.46 |
5.49 |
48.8 |
72.99 |
| ZI dVAM Growth Active PCP USD |
USDYK |
Mixed Investment 40- |
2025/10/31 |
|
|
USD 1.7963 |
3.55 |
6.1 |
15.47 |
10.6 |
12.9 |
32.97 |
31.62 |
| ZI DWS Invest Global Agribusiness |
EVUSD |
Commodity/Energy |
2025/10/31 |
|
|
USD 1.1744 |
-3.48 |
-5.56 |
-2.89 |
2.51 |
-5.21 |
-13.71 |
9.79 |
| ZI Emirates Emerging Market Debt |
USDGM |
Global Emerging Mark |
2025/10/31 |
|
|
USD 1.3723 |
1.56 |
4.37 |
8.06 |
7.6 |
7.31 |
40.71 |
-2.46 |
| ZI Emirates Global Sukuk |
I3USD |
Global Fixed Interes |
2025/10/31 |
|
|
USD 1.6850 |
0.81 |
2.48 |
4.03 |
5.79 |
5.23 |
16.18 |
2.66 |
| ZI Emirates Islamic Global Balanced |
N4USD |
Mixed Investment 40- |
2025/10/31 |
|
|
USD 1.6697 |
3.09 |
6.6 |
13.08 |
11.84 |
10.59 |
29.1 |
22.36 |
| ZI Emirates Islamic Money Market |
3LUSD |
Currency Funds |
2025/10/31 |
|
|
USD 1.4268 |
0.28 |
0.82 |
1.65 |
2.7 |
3.28 |
10.9 |
10.54 |
| ZI Emirates MENA Fixed Income |
7TUSD |
Global Fixed Interes |
2025/10/31 |
|
|
USD 1.7751 |
1.42 |
4.71 |
7.21 |
8.58 |
7.3 |
23.37 |
4.52 |
| ZI Emirates MENA Top Companies |
3MUSD |
Global Emerging Mark |
2025/10/31 |
|
|
USD 2.2298 |
2.39 |
2.74 |
5.47 |
5.24 |
6.18 |
6.26 |
48.71 |
| ZI Fidelity America |
USDFU |
North America Equiti |
2025/10/31 |
|
|
USD 2.4981 |
1.25 |
3.16 |
11.43 |
5.93 |
5.2 |
24.78 |
74.55 |
| ZI Fidelity ASEAN SGD |
DFSGD |
Asia Pacific excludi |
2025/10/31 |
|
|
SGD 1.3712 |
1.64 |
3.46 |
11.08 |
3.93 |
3.82 |
17.8 |
0 |
| ZI Fidelity China Focus |
FKUSD |
Global Emerging Mark |
2025/10/31 |
|
|
USD 2.3896 |
-0.8 |
8.38 |
23.04 |
30.59 |
25.45 |
67.07 |
25.99 |
| ZI Fidelity Emerging Europe Middle East & Africa EUR SP |
3VEUR |
Global Emerging Mark |
2025/10/31 |
|
|
USD 0.0100 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
| ZI Fidelity Emerging Europe Middle East & Africa USD SP |
USDJ9 |
Global Emerging Mark |
2025/10/31 |
|
|
EUR 0.0100 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
| ZI Fidelity Emerging Europe Middle East and Africa |
FBEUR |
Global Emerging Mark |
2025/10/31 |
|
|
EUR 1.9963 |
1.6 |
6.51 |
18.24 |
22.86 |
26.19 |
61.15 |
26.93 |
| ZI Fidelity Euro Cash |
NDEUR |
Currency Funds |
2025/10/31 |
|
|
EUR 1.2020 |
0.1 |
0.25 |
0.54 |
1.11 |
1.47 |
6.3 |
2.93 |
| ZI Fidelity European Growth |
FDEUR |
Europe including UK |
2025/10/31 |
|
|
EUR 3.5973 |
2.34 |
0.54 |
3.79 |
7.96 |
9.09 |
45.33 |
65.56 |
| ZI Fidelity Funds European High Yield SEK Hedged |
AFSEK |
Global High Yield |
2025/10/31 |
|
|
SEK 2.2537 |
-0.2 |
0.29 |
3.06 |
3.57 |
4.7 |
28.07 |
15.78 |
| ZI Fidelity Funds Global Dividend |
USDFT |
Global Equities |
2025/10/31 |
|
|
USD 2.5645 |
0.19 |
1.28 |
5.91 |
17.62 |
12.31 |
57.05 |
63.51 |
| ZI Fidelity Global Bond |
FCUSD |
Global Fixed Interes |
2025/10/31 |
|
|
USD 1.5926 |
-0.25 |
1.4 |
0.93 |
6.35 |
3.76 |
12.12 |
-15.29 |
| ZI Fidelity Global Multi Asset Income |
USDMD |
Mixed Investment 0-3 |
2025/10/31 |
|
|
USD 1.6113 |
1.51 |
4.38 |
8.14 |
10.54 |
9.42 |
24.95 |
9.09 |
| ZI Fidelity Global Technology |
USDKU |
Specialist |
2025/10/31 |
|
|
USD 7.4195 |
3.36 |
10.42 |
30.38 |
25.07 |
24.35 |
109.06 |
132.51 |
| ZI Fidelity Global Thematic Opportunities |
FAUSD |
Global Equities |
2025/10/31 |
|
|
USD 3.9817 |
3 |
6.41 |
22.51 |
18.81 |
17.18 |
53.44 |
50.21 |
| ZI Fidelity India Focus |
FGUSD |
Global Emerging Mark |
2025/10/31 |
|
|
USD 2.6047 |
3.83 |
1.79 |
2.22 |
1.89 |
1 |
31.21 |
68.62 |
| ZI Fidelity Nordic |
FFSEK |
Europe excluding UK |
2025/10/31 |
|
|
SEK 47.0700 |
2.05 |
5.94 |
20.37 |
16.86 |
13.57 |
47.39 |
121.1 |
| ZI Fidelity Pacific |
EMUSD |
Asia Pacific includi |
2025/10/31 |
|
|
USD 2.1562 |
1.83 |
12.62 |
33.25 |
35.66 |
33.36 |
63.16 |
27.73 |
| ZI Fidelity US Dollar Cash |
USDKL |
Currency Funds |
2025/10/31 |
|
|
USD 1.4036 |
0.29 |
0.87 |
1.77 |
2.92 |
3.56 |
12.64 |
11.48 |
| ZI Fidelity World EUR |
FEEUR |
Global Equities |
2025/10/31 |
|
|
EUR 4.9739 |
4.14 |
6.58 |
21.71 |
9.23 |
13.41 |
43.85 |
73.58 |
| ZI Fidelity World USD |
USDKV |
Global Equities |
2025/10/31 |
|
|
USD 3.1206 |
2.72 |
7.5 |
23.55 |
21.66 |
20.81 |
67.48 |
72.22 |
| ZI Franklin Global Sukuk |
USDFX |
Global Fixed Interes |
2025/10/31 |
|
|
USD 1.4614 |
0.59 |
2.25 |
3.9 |
5.96 |
5.18 |
15.75 |
3.33 |
| ZI Franklin Gold and Precious Metals EUR |
HTEUR |
Commodity/Energy |
2025/10/31 |
|
|
EUR 0.9757 |
-3.47 |
42.5 |
49.99 |
122.71 |
80.12 |
187.14 |
82.14 |
| ZI Franklin Gold and Precious Metals USD |
6CUSD |
Commodity/Energy |
2025/10/31 |
|
|
USD 1.3618 |
-3.25 |
43.53 |
52.5 |
129.22 |
86.24 |
215.52 |
112.78 |
| ZI Franklin High Yield |
USDMF |
Global High Yield |
2025/10/31 |
|
|
USD 1.9074 |
0.26 |
2.02 |
5.54 |
6.32 |
6.51 |
27.77 |
21.3 |
| ZI Franklin Income |
USDMH |
Mixed Investment 20- |
2025/10/31 |
|
|
USD 1.9272 |
0.52 |
2.88 |
7.97 |
8.15 |
5.93 |
23.93 |
39.66 |
| ZI Franklin India |
USDJP |
Global Emerging Mark |
2025/10/31 |
|
|
USD 2.5107 |
3.39 |
0.86 |
0.05 |
-2.89 |
-3.01 |
38.11 |
83.75 |
| ZI Franklin MENA |
GCUSD |
Global Emerging Mark |
2025/10/31 |
|
|
USD 2.9845 |
3.04 |
1.16 |
7.22 |
8.41 |
8.37 |
21.98 |
64.01 |
| ZI Franklin Mutual Global Discovery |
R2USD |
Global Equities |
2025/10/31 |
|
|
USD 2.8363 |
-0.46 |
3.99 |
9.07 |
16.47 |
12.16 |
43.42 |
80.59 |
| ZI Franklin NextStep Conservative |
USDRN |
Mixed Investment 0-3 |
2025/10/31 |
|
|
USD 1.4780 |
1.05 |
3.3 |
6.58 |
6.82 |
6.19 |
22.48 |
6.65 |
| ZI Franklin NextStep Growth |
USDRQ |
Mixed Investment 40- |
2025/10/31 |
|
|
USD 2.1558 |
2.08 |
5.53 |
15.07 |
12.88 |
11.5 |
48.07 |
43.63 |
| ZI Franklin NextStep Moderate |
USDRL |
Mixed Investment 20- |
2025/10/31 |
|
|
USD 1.9408 |
1.83 |
4.85 |
12.45 |
11.07 |
9.93 |
40.02 |
32.34 |
| ZI Franklin US Government |
TCUSD |
Global Fixed Interes |
2025/10/31 |
|
|
USD 1.7319 |
0.56 |
3.12 |
3.14 |
5.8 |
5.2 |
10.19 |
-7.17 |
| ZI Franklin US Opportunities |
BGSGD |
North America Equiti |
2025/10/31 |
|
|
SGD 6.3991 |
1.81 |
3.74 |
18.87 |
3.53 |
7.22 |
64.03 |
42.01 |
| ZI FSSA Asian Equity Plus |
FOUSD |
Asia Pacific excludi |
2025/10/31 |
|
|
USD 6.1281 |
3.19 |
7.44 |
17.54 |
16.85 |
15.52 |
43.86 |
16.7 |
| ZI FSSA China Growth |
FNUSD |
Asia Pacific excludi |
2025/10/31 |
|
|
USD 7.0233 |
-1.42 |
8.2 |
19.83 |
21.8 |
17.92 |
33.01 |
-15.84 |
| ZI FSSA Hong Kong Growth |
FMUSD |
Asia Pacific excludi |
2025/10/31 |
|
|
USD 5.3255 |
-1.31 |
6.98 |
22.97 |
27.59 |
25.54 |
50.37 |
0.59 |
| ZI Harris Associates Global Equity |
4EUSD |
Global Equities |
2025/10/31 |
|
|
USD 2.5299 |
-0.62 |
1.45 |
9.31 |
12.36 |
8.46 |
37.76 |
55.64 |
| ZI HSBC GIF ASEAN Equity |
HGUSD |
Global Emerging Mark |
2025/10/31 |
|
|
USD 3.1528 |
0.91 |
4.65 |
13.45 |
10.65 |
9.56 |
27.91 |
40.44 |
| ZI HSBC GIF Brazil Equity |
Z6USD |
Global Emerging Mark |
2025/10/31 |
|
|
USD 0.5340 |
0.93 |
18.04 |
16.16 |
43.01 |
19.97 |
12.75 |
21.75 |
| ZI HSBC GIF BRIC Equity* |
HIUSD |
Global Emerging Mark |
2025/10/31 |
|
|
USD 2.5214 |
0.43 |
9.97 |
14.88 |
27.63 |
16.44 |
40.13 |
8.82 |
| ZI HSBC GIF Chinese Equity |
HBUSD |
Global Emerging Mark |
2025/10/31 |
|
|
USD 8.4502 |
-1.97 |
11.47 |
25.44 |
34.8 |
30.93 |
67.71 |
-14.61 |
| ZI HSBC GIF Global Emerging Markets Bond |
NUUSD |
Global Fixed Interes |
2025/10/31 |
|
|
USD 2.3744 |
1.75 |
5.1 |
9.42 |
11.79 |
11.18 |
39.66 |
3.31 |
| ZI HSBC GIF Hong Kong Equity |
HAUSD |
Asia Pacific excludi |
2025/10/31 |
|
|
USD 5.5024 |
-1.84 |
9.01 |
24.62 |
36.99 |
34.43 |
75.41 |
-2.7 |
| ZI HSBC GIF Indian Equity |
HCUSD |
Global Emerging Mark |
2025/10/31 |
|
|
USD 16.8430 |
4.62 |
1.54 |
4.03 |
2.19 |
0.62 |
37.52 |
85.35 |
| ZI HSBC Islamic Global Equity Index |
HFUSD |
Global Equities |
2025/10/31 |
|
|
USD 7.3933 |
5.11 |
11.72 |
29.07 |
18.18 |
19.81 |
97.71 |
102.49 |
| ZI HSBC Portfolios World Selection 1 USD |
USDHA |
Mixed Investment 0-3 |
2025/10/31 |
|
|
USD 1.5027 |
1.14 |
3.2 |
5.32 |
7.18 |
6.77 |
19.2 |
4.97 |
| ZI HSBC Portfolios World Selection 2 USD |
USDHG |
Mixed Investment 20- |
2025/10/31 |
|
|
USD 1.7650 |
1.72 |
4.65 |
9 |
10.48 |
9.63 |
29.81 |
19.85 |
| ZI HSBC Portfolios World Selection 3 USD |
USDHH |
Mixed Investment 20- |
2025/10/31 |
|
|
USD 2.0794 |
2.19 |
6.06 |
13.24 |
13.96 |
12.77 |
42.84 |
39.9 |
| ZI HSBC Portfolios World Selection 4 USD |
USDHJ |
Mixed Investment 40- |
2025/10/31 |
|
|
USD 2.3403 |
2.57 |
7.22 |
16.82 |
16.77 |
15.25 |
53.07 |
56.52 |
| ZI HSBC Portfolios World Selection 5 USD |
USDHK |
Mixed Investment 40- |
2025/10/31 |
|
|
USD 2.4648 |
2.58 |
7.34 |
17.7 |
17.56 |
15.73 |
56.69 |
62.89 |
| ZI Insight USD Liquidity |
LOUSD |
Currency Funds |
2025/10/31 |
|
|
USD 1.4723 |
0.33 |
0.98 |
2 |
3.34 |
4.06 |
14.21 |
14.58 |
| ZI Invesco ASEAN Equity |
6YUSD |
Asia Pacific excludi |
2025/10/31 |
|
|
USD 1.8211 |
0.25 |
2.67 |
9.35 |
5.75 |
4.32 |
23.55 |
35.95 |
| ZI Invesco Asia Consumer Demand |
CFUSD |
Asia Pacific excludi |
2025/10/31 |
|
|
USD 2.5948 |
3.06 |
8.3 |
21.96 |
20.31 |
18.44 |
63.74 |
-7.51 |
| ZI Invesco Bond |
OPUSD |
Global Fixed Interes |
2025/10/31 |
|
|
USD 1.4737 |
0.02 |
1.36 |
1.3 |
7.18 |
4.37 |
15.52 |
-14.57 |
| ZI Invesco Developed Small and Mid-Cap Equity |
USDMW |
Global Equities |
2025/10/31 |
|
|
USD 2.3913 |
2.44 |
3.58 |
19.9 |
16.49 |
16.2 |
51.12 |
56.82 |
| ZI Invesco Environmental Climate Opportunities Bond EUR |
DNEUR |
Global Fixed Interes |
2025/10/31 |
|
|
EUR 1.9999 |
1.71 |
1.56 |
1.96 |
-4.31 |
-1.62 |
5.25 |
7.59 |
| ZI Invesco Environmental Climate Opportunities Bond USD |
OQUSD |
Global Fixed Interes |
2025/10/31 |
|
|
USD 1.7831 |
0.67 |
2.09 |
4.02 |
6.35 |
5.56 |
23.27 |
7.4 |
| ZI Invesco Euro Bond |
IEUSD |
Global Fixed Interes |
2025/10/31 |
|
|
USD 2.6822 |
-0.88 |
1.64 |
2.77 |
12.63 |
8.06 |
29.64 |
-12.67 |
| ZI Invesco Euro Corporate Bond |
DMEUR |
Global Fixed Interes |
2025/10/31 |
|
|
EUR 2.1462 |
0.63 |
0.76 |
1.89 |
2.21 |
2.5 |
13.75 |
-2.4 |
| ZI Invesco Global Equity Income |
7QUSD |
Global Equities |
2025/10/31 |
|
|
USD 3.9205 |
-0.12 |
1.07 |
16.21 |
17.37 |
14.81 |
89.44 |
111.22 |
| ZI Invesco Global High Yield |
ORUSD |
Global High Yield |
2025/10/31 |
|
|
USD 3.1689 |
0.44 |
2.25 |
5.58 |
6.11 |
6.51 |
24.42 |
18.42 |
| ZI Invesco Pan European Equity EUR |
MFEUR |
Europe including UK |
2025/10/31 |
|
|
EUR 1.8096 |
2.27 |
3.38 |
10.68 |
14.94 |
11.72 |
35.7 |
90.2 |
| ZI Invesco Pan European Equity USD |
IVUSD |
Europe including UK |
2025/10/31 |
|
|
USD 2.3583 |
0.7 |
4.53 |
12.68 |
27.71 |
18.91 |
57.97 |
88.5 |
| ZI Invesco UK Equity Income (UK) |
CIGBP |
UK All Companies |
2025/10/31 |
|
|
GBP 2.2010 |
2.91 |
6.54 |
15.62 |
19.61 |
17.41 |
43.42 |
73.09 |
| ZI iShares US Index |
USDY4 |
North America Equiti |
2025/10/31 |
|
|
USD 1.4399 |
2.4 |
7.15 |
0 |
0 |
0 |
0 |
0 |
| ZI Janus Henderson Continental European |
CFEUR |
Europe excluding UK |
2025/10/31 |
|
|
EUR 3.0971 |
3.17 |
3.21 |
9.23 |
14.36 |
12.23 |
44.9 |
74.99 |
| ZI Janus Henderson Horizon Asia-Pacific Property Income |
EFUSD |
Global Property |
2025/10/31 |
|
|
USD 1.1001 |
-0.61 |
3.83 |
12.02 |
16.45 |
9.63 |
12.1 |
-4.37 |
| ZI Janus Henderson Horizon China Opportunities |
T2USD |
Global Emerging Mark |
2025/10/31 |
|
|
USD 1.7575 |
-1.38 |
11.2 |
27.34 |
37.82 |
33.62 |
59.82 |
-24.45 |
| ZI Janus Henderson Horizon Global Property Equities |
BAUSD |
Global Property |
2025/10/31 |
|
|
USD 1.8598 |
0.13 |
1.22 |
5.92 |
7.16 |
-0.9 |
15.81 |
11.55 |
| ZI Janus Henderson Horizon Global Technology Leaders |
9HUSD |
Specialist |
2025/10/31 |
|
|
USD 9.5852 |
5.3 |
13.36 |
40.72 |
28.35 |
29.54 |
153.79 |
115.74 |
| ZI JPM Global Natural Resources EUR |
ILEUR |
Commodity/Energy |
2025/10/31 |
|
|
EUR 1.3627 |
0.87 |
14.54 |
23.62 |
22.83 |
14.8 |
15.6 |
127.53 |
| ZI JPM Global Natural Resources USD |
CIUSD |
Commodity/Energy |
2025/10/31 |
|
|
USD 0.9458 |
-0.63 |
15.58 |
25.44 |
36.58 |
22.47 |
34.18 |
124.98 |
| ZI JPM Global Research Enhanced Index Equity |
USDE3 |
Global Equities |
2025/10/31 |
|
|
USD 2.1719 |
2.56 |
7.01 |
20.98 |
18.23 |
16.93 |
76.49 |
0 |
| ZI JPM India |
JIUSD |
Global Emerging Mark |
2025/10/31 |
|
|
USD 2.4517 |
2.38 |
-1.16 |
-0.1 |
-2.52 |
-4.51 |
18.87 |
49.69 |
| ZI JPM Middle East Africa & Emerging Europe Opportunities Acc |
USDP4 |
Global Emerging Mark |
2025/10/31 |
|
|
USD 1.8203 |
0.3 |
7.08 |
15.94 |
27.06 |
29.63 |
0 |
0 |
| ZI JPM Taiwan |
IYUSD |
Asia Pacific excludi |
2025/10/31 |
|
|
USD 4.8749 |
6.84 |
13.4 |
49.04 |
30.96 |
29.84 |
122.75 |
90.9 |
| ZI JPMorgan ASEAN |
JCUSD |
Asia Pacific excludi |
2025/10/31 |
|
|
USD 8.5852 |
1.13 |
3.46 |
11.24 |
10.39 |
9.08 |
31.49 |
43.76 |
| ZI JPMorgan Asia Growth |
APUSD |
Asia Pacific excludi |
2025/10/31 |
|
|
USD 1.9224 |
5.3 |
16.66 |
34.34 |
30.77 |
26.31 |
67.98 |
7.29 |
| ZI JPMorgan Korea |
JEUSD |
Asia Pacific excludi |
2025/10/31 |
|
|
USD 7.5820 |
14.88 |
21.95 |
62.44 |
79.69 |
56.65 |
87.85 |
52.48 |
| ZI JPMorgan Pacific Securities |
JAUSD |
Asia Pacific includi |
2025/10/31 |
|
|
USD 13.5391 |
4.4 |
12.55 |
24.86 |
27.48 |
24.39 |
64.33 |
17.33 |
| ZI Jupiter Dynamic Bond |
USDGD |
Global Fixed Interes |
2025/10/31 |
|
|
USD 1.5222 |
1 |
2.32 |
4.06 |
7.01 |
4.98 |
17.79 |
-1.26 |
| ZI Jupiter Ecology |
GDGBP |
Global Equities |
2025/10/31 |
|
|
GBP 6.3016 |
2.32 |
3.5 |
18.04 |
10.58 |
5.04 |
25.58 |
45.62 |
| ZI Jupiter European Growth GBP |
GLGBP |
Europe including UK |
2025/10/31 |
|
|
GBP 2.9377 |
4.59 |
4.86 |
12.66 |
13.03 |
11.75 |
27.24 |
22.49 |
| ZI Jupiter European Growth USD |
USDGE |
Europe including UK |
2025/10/31 |
|
|
USD 3.0970 |
3.97 |
3.48 |
10.04 |
8.33 |
8 |
32.48 |
38.34 |
| ZI Jupiter Financial Innovation |
K3USD |
Specialist |
2025/10/31 |
|
|
USD 3.7138 |
0.4 |
5.18 |
30.16 |
40.36 |
48.6 |
119.44 |
58.3 |
| ZI Jupiter India Select |
6FUSD |
Global Emerging Mark |
2025/10/31 |
|
|
USD 3.0184 |
4.69 |
3.5 |
6.67 |
8.79 |
4.54 |
84.65 |
171.12 |
| ZI Kotak India Midcap |
USDM6 |
Global Emerging Mark |
2025/10/31 |
|
|
USD 1.5950 |
3.73 |
0.99 |
4.98 |
-2.91 |
-2.95 |
0 |
0 |
| ZI Loomis Sayles Global Growth Equity |
USD9L |
Global Equities |
2025/10/31 |
|
|
USD 1.8444 |
2.27 |
8.49 |
24.58 |
19.61 |
24.45 |
109.26 |
0 |
| ZI Loomis Sayles Multisector Income |
X7USD |
Global Fixed Interes |
2025/10/31 |
|
|
USD 1.8831 |
0.11 |
2.17 |
3.82 |
6.13 |
5.92 |
19.79 |
5.66 |
| ZI Loomis Sayles US Growth Equity |
USDUW |
North America Equiti |
2025/10/31 |
|
|
USD 3.2761 |
0.81 |
4.51 |
23.3 |
11.55 |
19.43 |
117.42 |
97.15 |
| ZI M&G Global Themes |
M3USD |
Global Equities |
2025/10/31 |
|
|
USD 3.1529 |
1.65 |
7.42 |
20.79 |
21.38 |
18.09 |
51.41 |
66.07 |
| ZI Morgan Stanley Global Bond |
DBUSD |
Global Fixed Interes |
2025/10/31 |
|
|
USD 2.1500 |
-0.18 |
1.74 |
2.08 |
7.22 |
5.43 |
15.41 |
-11.89 |
| ZI Morgan Stanley Sustainable Emerging Markets Equity |
CUUSD |
Global Emerging Mark |
2025/10/31 |
|
|
USD 1.3033 |
5.59 |
13.9 |
27.79 |
32.03 |
25.92 |
70.7 |
33.74 |
| ZI MSIF QuantActive Global Property |
USDV9 |
Global Property |
2025/10/31 |
|
|
USD 1.2501 |
-0.57 |
1.46 |
7.03 |
9.62 |
0 |
0 |
0 |
| ZI Natixis Thematics Safety |
USD9H |
Global Equities |
2025/10/31 |
|
|
USD 1.3346 |
-1.03 |
-2.16 |
12.17 |
5.46 |
4.92 |
46.29 |
0 |
| ZI Ninety One GSF American Franchise |
CGUSD |
North America Equiti |
2025/10/31 |
|
|
USD 3.5461 |
-0.7 |
-1.99 |
9.65 |
6.2 |
6.65 |
49.77 |
56.86 |
| ZI Ninety One GSF Global Credit Income Acc |
USDQ3 |
Global Fixed Interes |
2025/10/31 |
|
|
USD 1.3948 |
0.32 |
1.26 |
3.56 |
4.77 |
5.3 |
0 |
0 |
| ZI Ninety One GSF Global Credit Income Inc |
3XEUR |
Global Fixed Interes |
2025/10/31 |
|
|
EUR 1.3457 |
0.12 |
0.64 |
2.24 |
2.69 |
2.95 |
0 |
0 |
| ZI Ninety One GSF Global Environment |
USD9X |
Global Equities |
2025/10/31 |
|
|
USD 1.2068 |
3.44 |
6.48 |
19.49 |
16.7 |
9.06 |
24.13 |
0 |
| ZI Ninety One GSF Global Strategic Equity |
GMUSD |
Global Equities |
2025/10/31 |
|
|
USD 4.2643 |
0.63 |
6.63 |
20.54 |
24.08 |
21.56 |
78.41 |
76.28 |
| ZI Ninety One GSF Sterling Money |
E6GBP |
Money Market |
2025/10/31 |
|
|
GBP 1.3776 |
0.23 |
0.69 |
1.44 |
2.53 |
3.11 |
10.25 |
0 |
| ZI Pacific Multi Asset Plus Fund USD |
USDYP |
Mixed Investment 40- |
2025/10/31 |
|
|
USD 1.7751 |
4.03 |
7.73 |
15.17 |
12.85 |
14.88 |
33.93 |
50.46 |
| ZI Pictet - Short-Term Money Market |
CDCHF |
Money Market |
2025/10/31 |
|
|
CHF 1.1206 |
-0.06 |
-0.19 |
-0.36 |
-0.51 |
-0.52 |
0.42 |
-2.4 |
| ZI PIMCO GIS Emerging Markets Bond |
USDNG |
Global Fixed Interes |
2025/10/31 |
|
|
USD 1.8341 |
1.77 |
5.52 |
9.31 |
12.99 |
12.81 |
42.1 |
10.08 |
| ZI PIMCO GIS Global Bond |
USDKN |
Global Fixed Interes |
2025/10/31 |
|
|
USD 1.4431 |
0.92 |
2.53 |
3.31 |
4.97 |
5.75 |
15.63 |
-2.14 |
| ZI PIMCO GIS Global High Yield Bond |
USDNJ |
Global High Yield |
2025/10/31 |
|
|
USD 1.7873 |
0.29 |
1.86 |
4.68 |
5.4 |
5.9 |
26.1 |
16.83 |
| ZI PIMCO GIS Global Investment Grade Credit |
USDKP |
Global Fixed Interes |
2025/10/31 |
|
|
USD 1.4521 |
0.91 |
2.96 |
4.19 |
5.75 |
5.67 |
20.6 |
-3.09 |
| ZI PIMCO GIS Total Return Bond |
USDKQ |
Global Fixed Interes |
2025/10/31 |
|
|
USD 1.3400 |
0.92 |
3.44 |
4.04 |
7.2 |
6.63 |
17.34 |
-6.91 |
| ZI PIMCO GIS Total Return Bond SGD Hedged |
BHSGD |
Global Fixed Interes |
2025/10/31 |
|
|
SGD 1.3400 |
0.62 |
2.67 |
2.67 |
5.33 |
4.42 |
11.19 |
-11.92 |
| ZI PineBridge India Equity |
9KUSD |
Global Emerging Mark |
2025/10/31 |
|
|
USD 4.3346 |
4.02 |
2.13 |
4.56 |
2.17 |
-0.45 |
35.22 |
57.54 |
| ZI PineBridge Japan Small Cap Equity |
USDGP |
Japan Equities |
2025/10/31 |
|
|
USD 1.6962 |
-6 |
-0.76 |
6.25 |
17.21 |
16.92 |
7.65 |
-13.79 |
| ZI Premier Miton Cautious Multi Asset GBP |
K7GBP |
Mixed Investment 20- |
2025/10/31 |
|
|
GBP 1.4339 |
3.76 |
8.01 |
16.69 |
16.94 |
0 |
0 |
0 |
| ZI Premier Miton Cautious Multi Asset USD |
7LUSD |
Mixed Investment 20- |
2025/10/31 |
|
|
USD 1.5825 |
1.78 |
6.27 |
14.33 |
21.33 |
17.18 |
44.32 |
29.73 |
| ZI Schroder AS Commodity |
CNUSD |
Commodity/Energy |
2025/10/31 |
|
|
USD 0.7341 |
1.83 |
5.63 |
6.44 |
13.37 |
12.77 |
2.17 |
54.94 |
| ZI Schroder ISF Asian Bond Total Return |
CBUSD |
Specialist |
2025/10/31 |
|
|
USD 1.8493 |
0.29 |
1.25 |
3.29 |
3.99 |
4.21 |
16.34 |
7.46 |
| ZI Schroder ISF BIC (Brazil India China) |
CCUSD |
Global Emerging Mark |
2025/10/31 |
|
|
USD 1.9705 |
0.85 |
14.37 |
21.59 |
25.4 |
18.88 |
45.02 |
-9.86 |
| ZI Schroder ISF Frontier Markets Equity |
USDCN |
Global Emerging Mark |
2025/10/31 |
|
|
USD 2.8614 |
0.7 |
7.06 |
21.32 |
23.29 |
21.25 |
86.76 |
120.74 |
| ZI Schroder ISF Global Cities |
7GUSD |
Global Property |
2025/10/31 |
|
|
USD 1.9218 |
-0.74 |
1.81 |
5.96 |
6.58 |
-1.52 |
19.45 |
10.66 |
| ZI Schroder ISF Global Climate Change Equity |
CLUSD |
Specialist |
2025/10/31 |
|
|
USD 3.1734 |
4.3 |
9.2 |
25.57 |
23.35 |
16.7 |
47.79 |
39.28 |
| ZI Schroder ISF Global Convertible Bond |
R3USD |
Global Fixed Interes |
2025/10/31 |
|
|
USD 2.3869 |
2.45 |
6.33 |
14.85 |
15.11 |
15.42 |
30.6 |
8.53 |
| ZI Schroder ISF Global Corporate Bond |
USDKC |
Global Fixed Interes |
2025/10/31 |
|
|
USD 1.5366 |
0.48 |
2.28 |
4.31 |
5.49 |
4.81 |
21.89 |
-1 |
| ZI Schroder ISF Global Equity Yield |
USDNQ |
Global Equities |
2025/10/31 |
|
|
USD 2.2872 |
0.79 |
4.73 |
13.38 |
20.61 |
16.15 |
54.26 |
93.58 |
| ZI Schroder ISF Global Inflation Linked Bond EUR |
BLEUR |
Global Fixed Interes |
2025/10/31 |
|
|
EUR 1.4896 |
0.89 |
1.3 |
1.37 |
2.46 |
-0.37 |
-2.58 |
-19.95 |
| ZI Schroder ISF Global Inflation Linked Bond USD |
GAUSD |
Global Fixed Interes |
2025/10/31 |
|
|
USD 1.8003 |
1.11 |
1.94 |
2.6 |
4.24 |
1.65 |
3.51 |
-12.73 |
| ZI Schroder ISF Global Multi-Asset Income |
USDNT |
Flexible Investment |
2025/10/31 |
|
|
USD 1.7023 |
0.71 |
4.26 |
9.46 |
11.91 |
10.85 |
33.64 |
24.99 |
| ZI Schroder ISF US Smaller Companies Impact |
CAUSD |
North America Equiti |
2025/10/31 |
|
|
USD 9.6019 |
1.42 |
2.51 |
12.3 |
0.88 |
2.63 |
25.68 |
46.62 |
| ZI Templeton Asian Bond |
4QUSD |
Global Fixed Interes |
2025/10/31 |
|
|
USD 1.0880 |
-0.61 |
-0.98 |
-0.87 |
3.55 |
0.88 |
8.52 |
-12.16 |
| ZI Templeton Asian Growth |
USDKE |
Asia Pacific excludi |
2025/10/31 |
|
|
USD 1.9541 |
5.5 |
12.25 |
25.51 |
24.5 |
20.1 |
60.19 |
6.16 |
| ZI Templeton BRIC |
TFUSD |
Global Emerging Mark |
2025/10/31 |
|
|
USD 2.1824 |
1.57 |
10.47 |
25.49 |
34.73 |
30.25 |
86.42 |
27.68 |
| ZI Templeton Emerging Markets |
TBUSD |
Global Emerging Mark |
2025/10/31 |
|
|
USD 6.4803 |
6.1 |
15.41 |
34.26 |
42.09 |
35.4 |
94.08 |
39.43 |
| ZI Templeton Global Bond EUR |
MHEUR |
Global Fixed Interes |
2025/10/31 |
|
|
EUR 0.9469 |
-0.49 |
2.22 |
3.69 |
12.38 |
6.05 |
2.83 |
-17.37 |
| ZI Templeton Global Bond SEK |
AJSEK |
Global Fixed Interes |
2025/10/31 |
|
|
SEK 1.0342 |
-0.45 |
2.25 |
3.75 |
12.32 |
5.88 |
2.14 |
-17.66 |
| ZI Templeton Global Bond USD |
TEUSD |
Global Fixed Interes |
2025/10/31 |
|
|
USD 1.9598 |
-0.26 |
2.92 |
5.03 |
14.57 |
8.43 |
9.78 |
-8.96 |
| ZI Templeton Global Smaller Companies |
TAUSD |
Global Equities |
2025/10/31 |
|
|
USD 3.6901 |
-2.06 |
-0.01 |
10.71 |
7.62 |
5.2 |
30.69 |
23.32 |
| ZI Templeton Global Total Return |
TDUSD |
Global Fixed Interes |
2025/10/31 |
|
|
USD 2.2466 |
0.12 |
3.52 |
6.49 |
15.53 |
10.09 |
23.28 |
-6.71 |
| ZI UBAM 30 Global Leaders Equity |
USD6U |
Global Equities |
2025/10/31 |
|
|
USD 1.8844 |
0.74 |
0.97 |
12.87 |
8.43 |
6.47 |
38.92 |
50.66 |
| ZI UBS (CH) Equity Fund - Switzerland Sustainable (CHF) |
CMCHF |
Europe excluding UK |
2025/10/31 |
|
|
CHF 2.0661 |
2.78 |
2.25 |
3.65 |
7.78 |
4.67 |
19.68 |
34.05 |
| ZI UBS (Lux) Bond Fund - AUD |
UCAUD |
Global Fixed Interes |
2025/10/31 |
|
|
AUD 2.4947 |
0.32 |
0.41 |
1.44 |
4.68 |
5.6 |
10.1 |
-6.82 |
| ZI UBS (Lux) Bond Fund - CHF Flexible |
UBCHF |
Global Fixed Interes |
2025/10/31 |
|
|
CHF 1.3887 |
0.09 |
0.34 |
0.86 |
0.4 |
1.35 |
12.72 |
-3.06 |
| Zurich Allocated Passive 100% Equity Fund - EUR |
B0165 |
Global Equities |
2025/10/31 |
|
|
EUR 2.6169 |
3.68 |
6.45 |
17.92 |
10.49 |
14.36 |
52.56 |
91.73 |
| Zurich Allocated Passive 100% Equity Fund - GBP |
B0160 |
Global Equities |
2025/10/31 |
|
|
GBP 2.5784 |
4.58 |
8.75 |
23.05 |
15.5 |
19.18 |
52.77 |
84.37 |
| Zurich Allocated Passive 100% Equity Fund - USD |
B0170 |
Global Equities |
2025/10/31 |
|
|
USD 2.5242 |
2.49 |
7.7 |
21.37 |
19.91 |
19.81 |
75.69 |
89.15 |
| Zurich Allocated Passive 20% Equity Fund - EUR |
B0161 |
Mixed Investment 0-3 |
2025/10/31 |
|
|
EUR 1.3991 |
1.19 |
2.45 |
4.43 |
4.19 |
4.86 |
15.68 |
3.16 |
| Zurich Allocated Passive 20% Equity Fund - GBP |
B0156 |
Mixed Investment 0-3 |
2025/10/31 |
|
|
GBP 1.4687 |
1.81 |
3.48 |
6.34 |
6.74 |
7.22 |
18.63 |
4.32 |
| Zurich Allocated Passive 20% Equity Fund - USD |
B0166 |
Mixed Investment 0-3 |
2025/10/31 |
|
|
USD 1.5777 |
1.09 |
3.27 |
6.11 |
7.56 |
7.58 |
25.17 |
10.9 |
| Zurich Allocated Passive 40% Equity Fund - EUR |
B0162 |
Mixed Investment 20- |
2025/10/31 |
|
|
EUR 1.6979 |
1.81 |
3.45 |
7.69 |
5.81 |
7.24 |
24.19 |
23.1 |
| Zurich Allocated Passive 40% Equity Fund - GBP |
B0157 |
Mixed Investment 20- |
2025/10/31 |
|
|
GBP 1.7083 |
2.5 |
4.8 |
10.36 |
8.96 |
10.2 |
26.58 |
20.77 |
| Zurich Allocated Passive 40% Equity Fund - USD |
B0167 |
Mixed Investment 20- |
2025/10/31 |
|
|
USD 1.8026 |
1.44 |
4.37 |
9.77 |
10.58 |
10.58 |
36.5 |
27.31 |
| Zurich Allocated Passive 60% Equity Fund - EUR |
B0163 |
Mixed Investment 20- |
2025/10/31 |
|
|
EUR 1.9323 |
2.43 |
4.45 |
11.03 |
7.41 |
9.63 |
33.14 |
41.36 |
| Zurich Allocated Passive 60% Equity Fund - GBP |
B0158 |
Mixed Investment 20- |
2025/10/31 |
|
|
GBP 1.9747 |
3.19 |
6.1 |
14.47 |
11.16 |
13.18 |
34.9 |
39.37 |
| Zurich Allocated Passive 60% Equity Fund - USD |
B0168 |
Mixed Investment 20- |
2025/10/31 |
|
|
USD 2.0324 |
1.79 |
5.48 |
13.54 |
13.65 |
13.62 |
48.65 |
45.7 |
| Zurich Allocated Passive 80% Equity Fund - EUR |
B0164 |
Mixed Investment 40- |
2025/10/31 |
|
|
EUR 2.2457 |
3.05 |
5.44 |
14.43 |
8.97 |
12.01 |
42.24 |
58.93 |
| Zurich Allocated Passive 80% Equity Fund - GBP |
B0159 |
Mixed Investment 40- |
2025/10/31 |
|
|
GBP 2.2676 |
3.88 |
7.42 |
18.7 |
13.33 |
16.17 |
43.96 |
66.44 |
| Zurich Allocated Passive 80% Equity Fund - USD |
B0169 |
Mixed Investment 40- |
2025/10/31 |
|
|
USD 2.2680 |
2.14 |
6.59 |
17.41 |
16.76 |
16.7 |
61.71 |
66.26 |
| Zurich Target Retirement 2030 R |
B0258 |
Flexible Investment |
2025/10/31 |
|
|
USD 1.3969 |
1.77 |
5.74 |
14.88 |
0 |
0 |
0 |
0 |
| Zurich Target Retirement 2035 R |
B0259 |
Flexible Investment |
2025/10/31 |
|
|
USD 1.4169 |
1.96 |
6.43 |
17.24 |
0 |
0 |
0 |
0 |
| Zurich Target Retirement 2040 R |
B0260 |
Flexible Investment |
2025/10/31 |
|
|
USD 1.4363 |
2.16 |
7.11 |
19.59 |
0 |
0 |
0 |
0 |
| Zurich Target Retirement 2045 R |
B0261 |
Flexible Investment |
2025/10/31 |
|
|
USD 1.4463 |
2.23 |
7.35 |
20.44 |
0 |
0 |
0 |
0 |
| Zurich Target Retirement 2050 R |
B0262 |
Flexible Investment |
2025/10/31 |
|
|
USD 1.4497 |
2.26 |
7.46 |
20.87 |
0 |
0 |
0 |
0 |
| Zurich Target Retirement 2055 R |
B0263 |
Flexible Investment |
2025/10/31 |
|
|
USD 1.4534 |
2.29 |
7.57 |
21.23 |
0 |
0 |
0 |
0 |
| Zurich Target Retirement 2060 R |
B0264 |
Flexible Investment |
2025/10/31 |
|
|
USD 1.4533 |
2.28 |
7.56 |
21.22 |
0 |
0 |
0 |
0 |
| Zurich Target Retirement 2065 R |
B0265 |
Flexible Investment |
2025/10/31 |
|
|
USD 1.4534 |
2.29 |
7.57 |
21.23 |
0 |
0 |
0 |
0 |