x Clear all
Fund Performance - Cumulative
Name Risk Chart Launch Date 1 Month 3 Months 6 Months 1 Year 3 Years 5 Years 10 Years Launch Performance to
ARF Fund View Factsheet IL2
07/01/2010 1.39% 1.69% 5.00% 6.54% 1.91% 7.95% 22.46% 38.50% 20 May 2024
Active Managed Fund View Factsheet IL4
15/05/2004 3.48% 4.13% 10.64% 12.94% 15.68% 31.14% 93.73% 216.90% 20 May 2024
Amundi Absolute Return Multi-Strategy View Factsheet IL3
24/06/2020 1.71% 2.85% 8.12% 6.08% -5.60% - - -0.49% 20 May 2024
Amundi Euroland Equity Small Cap View Factsheet IL6
24/06/2020 6.88% 8.73% 16.27% 13.54% 1.53% - - 24.43% 20 May 2024
Amundi European Equity Conservative View Factsheet IL6
24/06/2020 5.04% 4.95% 11.20% 4.61% 14.09% - - 29.43% 20 May 2024
Amundi Global Aggregate Bond View Factsheet IL3
24/06/2020 1.52% 1.30% 3.67% 4.36% -6.33% - - -7.44% 20 May 2024
Amundi Global ESG Ecology Equity View Factsheet IL6
24/06/2020 3.52% 4.77% 17.48% 16.27% 21.15% - - 44.88% 20 May 2024
Amundi Multi-Asset Sustainable Future View Factsheet IL3
24/06/2020 1.59% 1.69% 5.92% 5.81% -2.39% - - 2.00% 20 May 2024
Amundi Real Assets Target Income View Factsheet IL5
24/06/2020 2.96% 6.61% 8.71% 4.42% 17.18% - - 33.50% 20 May 2024
Annuity Fund View Factsheet IL4
07/01/2010 - -1.06% 4.49% 3.66% -28.95% -23.98% 0.08% 30.30% 20 May 2024
Capital Protection Fund View Factsheet IL2
01/03/2004 - - - - 2.51% 6.84% 24.13% 67.20% 20 May 2024
Consensus Cautious Fund View Factsheet IL4
16/03/2009 2.63% 2.68% 8.20% 10.53% 8.93% 22.90% 58.99% 120.15% 20 May 2024
Consensus Equity Fund View Factsheet IL6
01/02/2008 5.27% 5.87% 16.15% 21.21% 30.63% 67.84% 162.88% 218.13% 20 May 2024
Consensus Fund View Factsheet IL5
15/06/2003 3.94% 4.22% 12.15% 15.46% 17.68% 42.02% 108.94% 248.10% 20 May 2024
Diversified Assets Fund View Factsheet IL4
08/05/2007 1.43% 3.94% 7.02% 7.94% 13.84% 24.59% 65.85% 76.62% 20 May 2024
Diversified Balanced Fund View Factsheet IL4
16/03/2009 2.75% 3.49% 8.79% 10.59% 13.72% 30.81% 81.57% 139.32% 20 May 2024
Diversified Cautious Fund View Factsheet IL3
16/03/2009 1.53% 2.05% 5.22% 6.15% 4.54% 12.54% 41.56% 69.18% 20 May 2024
Diversified Growth Fund View Factsheet IL5
16/03/2009 3.95% 5.05% 12.28% 14.98% 24.60% 51.91% 127.05% 216.46% 20 May 2024
Dynamic Global Equity Fund View Factsheet IL6
08/03/2010 4.47% 5.25% 12.96% 12.12% 27.72% 50.52% 148.02% 261.88% 20 May 2024
Ethical Global Equity View Factsheet IL6
28/05/2004 5.03% 5.74% 17.25% 23.60% 37.51% 82.75% 156.62% 276.92% 20 May 2024
Exempt Cash Fund View Factsheet IL1
15/05/2004 0.16% 0.74% 1.50% 2.95% 3.56% 3.56% 3.56% 22.22% 20 May 2024
Fidelity China Fund View Factsheet IL7
01/02/2008 14.54% 21.56% 13.92% 5.80% 7.03% 12.47% 124.39% 130.00% 20 May 2024
Fidelity India China Fund View Factsheet IL7
06/10/2005 7.90% 11.63% 14.53% 14.74% 26.05% 38.84% 171.27% 481.60% 20 May 2024
Fidelity India Focus View Factsheet IL7
01/02/2008 1.23% 2.19% 14.26% 22.82% 40.52% 59.13% 193.71% 147.85% 20 May 2024
Fidelity World Fund View Factsheet IL6
26/08/2019 4.17% 6.46% 16.81% 19.35% 23.83% - - 50.00% 20 May 2024
Global Cash Fund View Factsheet IL1
08/03/2010 0.21% 0.74% 1.60% 2.91% 1.81% -0.52% -4.98% -5.63% 20 May 2024
Global Consensus Fund View Factsheet IL5
24/06/2010 3.69% 5.11% 12.54% 13.81% 17.24% 40.79% 91.96% 153.00% 20 May 2024
Global Indexed Fund View Factsheet IL6
26/02/2004 5.23% 5.66% 15.73% 20.32% 27.71% 61.74% 144.03% 159.00% 20 May 2024
Global Opportunities Fund View Factsheet IL6
28/05/2004 4.46% 5.24% 12.98% 12.12% 27.73% 50.51% 147.62% 310.57% 20 May 2024
Global Select Fund View Factsheet IL6
01/02/2008 4.45% 5.23% 12.97% 12.12% 27.71% 50.45% 148.38% 183.90% 20 May 2024
Indexed Commodities Fund View Factsheet IL6
08/05/2007 -0.84% 7.53% 6.43% 8.89% 38.07% 48.27% 14.44% -5.79% 20 May 2024
Indexed Emerging Market Equity Fund View Factsheet IL7
08/03/2010 7.66% 7.93% 12.99% 13.74% -1.55% 24.29% 59.89% 72.61% 20 May 2024
Indexed Euro Corporate Bond View Factsheet IL3
16/03/2009 0.42% 0.56% 3.63% 5.71% -8.06% -5.81% 3.56% 42.60% 20 May 2024
Indexed Euro Gilts View Factsheet IL3
15/07/2009 0.51% -0.15% 3.95% 4.03% -20.25% -16.03% 3.01% 6.88% 20 May 2024
Indexed Euro Short Dated Bond Fund View Factsheet IL2
08/03/2010 0.20% -0.10% 1.08% 1.79% -6.13% -7.07% -6.98% 2.81% 20 May 2024
Indexed Europe Fund View Factsheet IL6
10/03/2003 4.18% 7.69% 18.04% 16.77% 31.96% 59.67% 85.66% 88.58% 20 May 2024
Indexed European Equity View Factsheet IL6
29/08/2003 5.11% 7.03% 16.15% 13.79% 25.66% 58.41% 102.39% 287.47% 20 May 2024
Indexed Fixed Interest View Factsheet IL3
28/05/2004 0.75% 0.46% 3.49% 3.80% -12.64% -8.24% 9.59% 74.20% 20 May 2024
Indexed Inflation Linked Bond Fund View Factsheet IL3
01/04/2011 0.44% 1.06% 2.69% 2.23% -1.04% 7.21% 12.37% 14.50% 20 May 2024
Indexed Japanese Equity View Factsheet IL6
28/05/2004 2.45% 0.73% 12.46% 14.83% 18.78% 39.73% 123.00% 130.68% 20 May 2024
Indexed North American View Factsheet IL6
18/09/2003 4.73% 6.05% 17.56% 26.04% 42.21% 95.02% 271.00% 531.33% 20 May 2024
Indexed Pacific Equity View Factsheet IL7
22/07/2004 8.65% 5.77% 12.74% 6.93% 12.22% 46.71% 100.04% 418.21% 20 May 2024
Indexed Technology Fund View Factsheet IL6
08/03/2010 6.81% 5.07% 16.09% 32.65% 52.94% 155.35% 554.59% 577.24% 20 May 2024
Indexed UK Equity View Factsheet IL6
28/05/2004 7.21% 10.19% 16.77% 13.53% 34.45% 39.45% 63.15% 173.60% 20 May 2024
Indexed World Equities View Factsheet IL6
08/03/2010 4.89% 6.03% 16.88% 22.43% 35.33% 76.76% 187.04% 309.90% 20 May 2024
Infrastructure Equities Fund View Factsheet IL6
08/03/2010 5.68% 6.90% 8.92% 5.83% 23.77% 22.00% 71.91% 132.33% 20 May 2024
Irish Property Fund (Irish Prop IS) View Factsheet IL6
01/04/2011 -0.12% -1.63% -3.13% -7.38% -4.44% -11.61% 63.09% 71.21% 20 May 2024
MAPS 2 View Factsheet IL2
08/05/2013 1.57% 1.83% 5.32% 6.97% 2.08% 6.14% 21.61% 22.70% 20 May 2024
MAPS 3 View Factsheet IL3
08/05/2013 2.67% 2.89% 7.83% 9.94% 7.75% 15.97% 44.84% 46.00% 20 May 2024
MAPS 4 View Factsheet IL4
08/05/2013 3.55% 3.80% 10.14% 12.70% 13.95% 25.94% 72.56% 74.80% 20 May 2024
MAPS 5 View Factsheet IL5
08/05/2013 4.66% 4.83% 12.14% 14.94% 15.48% 32.06% 93.44% 97.70% 20 May 2024
MAPS 6 View Factsheet IL6
08/05/2013 5.48% 5.59% 14.09% 17.57% 17.10% 39.79% 105.54% 104.10% 20 May 2024
Multi-Manager Target Return Fund View Factsheet IL3
25/01/2016 1.19% 4.56% 9.23% 9.55% 6.38% 4.86% - 9.23% 20 May 2024
Pension Portfolio 2 View Factsheet IL2
26/02/2015 1.57% 1.57% 4.87% 6.22% -0.26% 5.16% - 16.20% 20 May 2024
Pension Portfolio 3 View Factsheet IL3
26/02/2015 2.55% 2.63% 7.36% 9.13% 5.32% 14.89% - 32.70% 20 May 2024
Pension Portfolio 4 View Factsheet IL4
26/02/2015 3.61% 3.69% 9.87% 11.94% 11.77% 25.19% - 49.10% 20 May 2024
Pension Portfolio 5 View Factsheet IL5
26/02/2015 4.91% 4.85% 12.19% 14.36% 14.36% 31.88% - 60.10% 20 May 2024
Pension Portfolio 6 View Factsheet IL6
26/02/2015 5.50% 5.50% 13.88% 16.87% 16.21% 37.76% - 64.90% 20 May 2024
Pension Protection Fund View Factsheet IL4
28/05/2004 - -1.03% 4.87% 4.35% -27.93% -20.69% 5.85% 90.75% 20 May 2024
Property Portfolio Fund View Factsheet IL6
05/10/2006 2.12% 1.71% 0.60% -0.39% 3.38% -3.16% 60.06% 1.00% 20 May 2024
Protected Consensus Markets Fund View Factsheet IL3
01/09/2010 3.48% 3.60% 9.04% 10.87% 10.39% 20.77% 43.60% 78.50% 20 May 2024
Public Sector Adventurous Fund View Factsheet IL5
11/01/2011 4.52% 4.42% 11.57% 14.56% 15.44% 33.37% 88.05% 126.60% 20 May 2024
Public Sector Balanced Fund View Factsheet IL4
11/01/2011 3.40% 3.23% 8.87% 11.22% 8.55% 21.27% - 54.29% 20 May 2024
Public Sector Cautious Fund View Factsheet IL3
11/01/2011 2.33% 2.26% 6.40% 8.07% 3.73% 11.05% - 28.05% 20 May 2024
Retirement Portfolio 2 View Factsheet IL2
31/01/2020 1.43% 1.53% 4.75% 5.75% -1.19% - - 5.19% 20 May 2024
Retirement Portfolio 3 View Factsheet IL3
31/01/2020 2.36% 2.56% 6.86% 7.86% 3.88% - - 13.99% 20 May 2024
Retirement Portfolio 4 View Factsheet IL4
31/01/2020 3.09% 3.29% 8.80% 10.11% 9.13% - - 23.87% 20 May 2024
Retirement Portfolio 5 View Factsheet IL5
31/01/2020 4.03% 4.22% 10.88% 12.38% 13.37% - - 35.75% 20 May 2024
Setanta Balanced Dividend Fund View Factsheet IL4
24/07/2013 2.98% 2.34% 8.32% 7.35% 13.67% 27.02% 66.14% 79.96% 20 May 2024
Setanta Equity Dividend Fund View Factsheet IL6
24/07/2013 4.38% 3.59% 11.93% 9.98% 24.45% 44.38% 111.21% 134.07% 20 May 2024
Setanta Global Equity Fund View Factsheet IL6
24/07/2013 4.46% 5.24% 12.93% 12.13% 27.72% 50.45% - 137.93% 20 May 2024
Setanta Global Focus Fund View Factsheet IL6
24/07/2013 -0.09% 0.65% 7.77% 6.71% 24.10% 42.77% - 99.17% 20 May 2024
Setanta Income Opportunities Fund View Factsheet IL4
24/07/2013 2.11% 1.75% 6.16% 5.64% 12.98% 19.16% - 51.39% 20 May 2024
Setanta Managed Fund View Factsheet IL5
24/07/2013 3.22% 3.83% 9.46% 9.07% 14.56% 27.99% - 61.97% 20 May 2024
Stability Fund View Factsheet IL2
07/01/2010 0.89% 1.21% 3.99% 5.13% -0.32% 4.25% - 11.31% 20 May 2024
FORUM 3 View Factsheet IL3
06/04/2022 2.35% 2.35% 7.18% 9.20% - - - 7.40% 20 May 2024
FORUM 4 View Factsheet IL4
06/04/2022 3.49% 3.59% 10.36% 12.98% - - - 13.56% 20 May 2024
FORUM 5 View Factsheet IL5
06/04/2022 4.63% 4.91% 13.37% 16.94% - - - 20.73% 20 May 2024
Setanta Active Multi-Asset 3 View Factsheet IL3
06/04/2022 2.09% 1.99% 5.99% 6.65% - - - 5.12% 20 May 2024
Setanta Active Multi-Asset 4 View Factsheet IL4
06/04/2022 3.14% 3.14% 8.34% 8.79% - - - 8.57% 20 May 2024
Setanta Active Multi-Asset 5 View Factsheet IL5
06/04/2022 3.98% 4.08% 9.96% 9.96% - - - 11.33% 20 May 2024
Amundi Protect 90 View Factsheet IL2
02/09/2022 1.29% 1.29% 3.64% 4.70% - - - 3.75% 20 May 2024
Pension Property Fund View Factsheet IL6
28/05/2004 - - - - - - - - 1 Jan 0001