Weekly Fund Flows By Objective
| Focus | Objective | Asset Class | Flow USD mn |
| Commodities | INDUSTRIAL METALS | Commodity | -6.80 |
| Commodities | PRECIOUS METAL SECTOR | Equity | -118.50 |
| Commodities | PRECIOUS METALS | Commodity | 612.85 |
| Commodities | PRECIOUS METALS | Mixed Allocation | 22.67 |
| country | AUSTRALIA | Equity | -34.84 |
| country | AUSTRALIA | Fixed Income | 34.24 |
| country | AUSTRALIA | Mixed Allocation | -0.13 |
| country | BRAZIL | Equity | 104.97 |
| country | BRAZIL | Fixed Income | 196.70 |
| country | CHINA | Equity | -1149.89 |
| country | CHINA | Fixed Income | 20.20 |
| Country | EGYPT | Equity | -0.74 |
| country | INDIA | Equity | -317.82 |
| country | INDIA | Fixed Income | 45.32 |
| country | ISRAEL | Equity | 1.58 |
| country | JAPAN | Equity | -827.35 |
| country | JAPAN | Fixed Income | -32.71 |
| country | JAPAN | Mixed Allocation | 6.57 |
| country | KOREA | Equity | -10.77 |
| country | POLAND | Equity | 8.34 |
| country | RUSSIA | Equity | 0.34 |
| country | RUSSIA | Fixed Income | -2.91 |
| country | SOUTH AFRICA | Equity | 3.87 |
| country | SPAIN | Equity | 61.52 |
| Country | TAIWAN | Equity | -87.59 |
| country | TURKEY | Equity | 3.14 |
| country | UNITED KINGDOM | Equity | 17.04 |
| industry | BASIC MATERIALS SECTOR | Equity | 100.54 |
| industry | COMMUNICATIONS SECTOR | Equity | 93.81 |
| industry | ENERGY SECTOR | Equity | 539.74 |
| industry | ENERGY SECTOR | Mixed Allocation | 0.31 |
| industry | FINANCIAL SECTOR | Equity | -89.51 |
| industry | HEALTH CARE SECTOR | Equity | -832.46 |
| industry | INDUSTRIAL SECTOR | Equity | -55.16 |
| industry | MULTIPLE SECTOR | Equity | 1.63 |
| industry | NATURAL RESOURCES SECTOR | Equity | 61.31 |
| industry | REAL ESTATE SECTOR | Alternative | -0.33 |
| industry | REAL ESTATE SECTOR | Equity | 1342.79 |
| industry | TECHNOLOGY SECTOR | Equity | -824.53 |
| industry | UTILITIES SECTOR | Equity | 531.35 |
| region | AFRICAN REGION | Equity | 18.37 |
| region | ASIAN PACIFIC REGION | Equity | 165.70 |
| region | ASIAN PACIFIC REGION | Fixed Income | 169.04 |
| region | ASIAN PACIFIC REGION | Mixed Allocation | -184.40 |
| region | ASIAN PACIFIC REGION EX JAPAN | Equity | 380.45 |
| region | ASIAN PACIFIC REGION EX JAPAN | Fixed Income | 67.77 |
| region | ASIAN PACIFIC REGION EX JAPAN | Mixed Allocation | 135.40 |
| region | EASTERN EUROPEAN REGION | Equity | 9.71 |
| region | EASTERN EUROPEAN REGION | Fixed Income | 5.73 |
| region | EASTERN EUROPEAN REGION | Mixed Allocation | 0.76 |
| region | EUROPEAN REGION | Equity | 1501.72 |
| region | EUROPEAN REGION | Fixed Income | 452.25 |
| region | EUROPEAN REGION | Mixed Allocation | 26.90 |
| region | LATIN AMERICAN REGION | Equity | -110.62 |
| region | LATIN AMERICAN REGION | Fixed Income | -3.01 |
| region | MIDDLE EAST REGION | Equity | 13.05 |
| region | NORDIC REGION | Equity | 329.00 |
| region | NORTH AMERICAN REGION | Equity | -37.97 |
| region | NORTH AMERICAN REGION | Fixed Income | 2.63 |
| Risk | GOVERNMENT BOND | Alternative | -1.37 |
| Risk | GOVERNMENT BOND | Equity | 0.17 |
| Risk | GOVERNMENT BOND | Fixed Income | 1780.82 |
| Risk | GOVERNMENT BOND | Mixed Allocation | 4.69 |
| Risk | INFLATION PROTECTED | Brazil | 14.71 |
| Risk | INFLATION PROTECTED | Fixed Income | 329.61 |
| Risk | LONG SHORT | Alternative | 1.37 |
| Risk | LONG SHORT | Equity | -134.18 |
| Risk | LONG SHORT | Fixed Income | 13.89 |
| Risk | LONG SHORT | Mixed Allocation | 0.54 |
| Sector | AGRICULTURE | Commodity | -6.20 |
| Sector | CONSUMER DISCRETIONARY | Equity | 1049.99 |
| Sector | CONSUMER STAPLES | Equity | 125.22 |
| segment | BRIC | Equity | -57.16 |
| segment | BRIC | Fixed Income | 85.42 |
| segment | DEVELOPED MARKETS | Equity | 876.11 |
| segment | EMEA | Equity | 1.29 |
| segment | EMERGING MARKETS | Equity | -167.81 |
| segment | GCC | Equity | -2.41 |
| segment | GCC | Fixed Income | -0.01 |
| segment | MENA | Equity | -8.32 |
| segment | MENA | Fixed Income | 0.59 |
| Size | LARGE-CAP | Equity | 9466.07 |
| Size | MID-CAP | Commodity | -0.34 |
| Size | MID-CAP | Equity | 464.09 |
| Size | SMALL-CAP | Equity | 385.86 |
Flows In Descending Order
| Focus | Objective | Asset Class | Flow USD mn |
| Size | LARGE-CAP | Equity | 9466.07 |
| Risk | GOVERNMENT BOND | Fixed Income | 1780.82 |
| region | EUROPEAN REGION | Equity | 1501.72 |
| industry | REAL ESTATE SECTOR | Equity | 1342.79 |
| Sector | CONSUMER DISCRETIONARY | Equity | 1049.99 |
| segment | DEVELOPED MARKETS | Equity | 876.11 |
| Commodities | PRECIOUS METALS | Commodity | 612.85 |
| industry | ENERGY SECTOR | Equity | 539.74 |
| industry | UTILITIES SECTOR | Equity | 531.35 |
| Size | MID-CAP | Equity | 464.09 |
| region | EUROPEAN REGION | Fixed Income | 452.25 |
| Size | SMALL-CAP | Equity | 385.86 |
| region | ASIAN PACIFIC REGION EX JAPAN | Equity | 380.45 |
| Risk | INFLATION PROTECTED | Fixed Income | 329.61 |
| region | NORDIC REGION | Equity | 329.00 |
| country | BRAZIL | Fixed Income | 196.70 |
| region | ASIAN PACIFIC REGION | Fixed Income | 169.04 |
| region | ASIAN PACIFIC REGION | Equity | 165.70 |
| region | ASIAN PACIFIC REGION EX JAPAN | Mixed Allocation | 135.40 |
| Sector | CONSUMER STAPLES | Equity | 125.22 |
| country | BRAZIL | Equity | 104.97 |
| industry | BASIC MATERIALS SECTOR | Equity | 100.54 |
| industry | COMMUNICATIONS SECTOR | Equity | 93.81 |
| segment | BRIC | Fixed Income | 85.42 |
| region | ASIAN PACIFIC REGION EX JAPAN | Fixed Income | 67.77 |
| country | SPAIN | Equity | 61.52 |
| industry | NATURAL RESOURCES SECTOR | Equity | 61.31 |
| country | INDIA | Fixed Income | 45.32 |
| country | AUSTRALIA | Fixed Income | 34.24 |
| region | EUROPEAN REGION | Mixed Allocation | 26.90 |
| Commodities | PRECIOUS METALS | Mixed Allocation | 22.67 |
| country | CHINA | Fixed Income | 20.20 |
| region | AFRICAN REGION | Equity | 18.37 |
| country | UNITED KINGDOM | Equity | 17.04 |
| Risk | INFLATION PROTECTED | Brazil | 14.71 |
| Risk | LONG SHORT | Fixed Income | 13.89 |
| region | MIDDLE EAST REGION | Equity | 13.05 |
| region | EASTERN EUROPEAN REGION | Equity | 9.71 |
| country | POLAND | Equity | 8.34 |
| country | JAPAN | Mixed Allocation | 6.57 |
| region | EASTERN EUROPEAN REGION | Fixed Income | 5.73 |
| Risk | GOVERNMENT BOND | Mixed Allocation | 4.69 |
| country | SOUTH AFRICA | Equity | 3.87 |
| country | TURKEY | Equity | 3.14 |
| region | NORTH AMERICAN REGION | Fixed Income | 2.63 |
| industry | MULTIPLE SECTOR | Equity | 1.63 |
| country | ISRAEL | Equity | 1.58 |
| Risk | LONG SHORT | Alternative | 1.37 |
| segment | EMEA | Equity | 1.29 |
| region | EASTERN EUROPEAN REGION | Mixed Allocation | 0.76 |
| segment | MENA | Fixed Income | 0.59 |
| Risk | LONG SHORT | Mixed Allocation | 0.54 |
| country | RUSSIA | Equity | 0.34 |
| industry | ENERGY SECTOR | Mixed Allocation | 0.31 |
| Risk | GOVERNMENT BOND | Equity | 0.17 |
| segment | GCC | Fixed Income | -0.01 |
| country | AUSTRALIA | Mixed Allocation | -0.13 |
| industry | REAL ESTATE SECTOR | Alternative | -0.33 |
| Size | MID-CAP | Commodity | -0.34 |
| Country | EGYPT | Equity | -0.74 |
| Risk | GOVERNMENT BOND | Alternative | -1.37 |
| segment | GCC | Equity | -2.41 |
| country | RUSSIA | Fixed Income | -2.91 |
| region | LATIN AMERICAN REGION | Fixed Income | -3.01 |
| Sector | AGRICULTURE | Commodity | -6.20 |
| Commodities | INDUSTRIAL METALS | Commodity | -6.80 |
| segment | MENA | Equity | -8.32 |
| country | KOREA | Equity | -10.77 |
| country | JAPAN | Fixed Income | -32.71 |
| country | AUSTRALIA | Equity | -34.84 |
| region | NORTH AMERICAN REGION | Equity | -37.97 |
| industry | INDUSTRIAL SECTOR | Equity | -55.16 |
| segment | BRIC | Equity | -57.16 |
| Country | TAIWAN | Equity | -87.59 |
| industry | FINANCIAL SECTOR | Equity | -89.51 |
| region | LATIN AMERICAN REGION | Equity | -110.62 |
| Commodities | PRECIOUS METAL SECTOR | Equity | -118.50 |
| Risk | LONG SHORT | Equity | -134.18 |
| segment | EMERGING MARKETS | Equity | -167.81 |
| region | ASIAN PACIFIC REGION | Mixed Allocation | -184.40 |
| country | INDIA | Equity | -317.82 |
| industry | TECHNOLOGY SECTOR | Equity | -824.53 |
| country | JAPAN | Equity | -827.35 |
| industry | HEALTH CARE SECTOR | Equity | -832.46 |
| country | CHINA | Equity | -1149.89 |

Chart: Oil, China, China Consumers, Japan Small Caps, Technology and Healthcare Funds are highlighted

Source: ML
Download file in Power PointEmerging markets fund flow showed -167.8 USD mn of outflow.. While Frontier Markets funds showed -0.1 USD mn of outflows.
BRAZIL Equity funds showed 105.0 USD mn of inflow.
BRAZIL Fixed Income funds showed 196.7 USD mn of inflow.
CHINA Equity funds showed -1149.9 USD mn of outflow.
CHINA Fixed Income funds showed 20.2 USD mn of inflow.
INDIA Equity funds showed -317.8 USD mn of outflow.
INDIA Fixed Income funds showed 45.3 USD mn of inflow.
KOREA Equity funds showed -10.8 USD mn of outflow.
RUSSIA Equity funds showed 0.3 USD mn of inflow.
RUSSIA Fixed Income funds showed -2.9 USD mn of outflow.
SOUTH AFRICA Equity funds showed 3.9 USD mn of inflow.
TURKEY Equity funds showed 3.1 USD mn of inflow.
COMMUNICATIONS SECTOR Equity funds showed 93.8 USD mn of inflow.
ENERGY SECTOR Equity funds showed 539.7 USD mn of inflow.
ENERGY SECTOR Mixed Allocation funds showed 0.3 USD mn of inflow.
FINANCIAL SECTOR Equity funds showed -89.5 USD mn of outflow.
REAL ESTATE SECTOR Alternative funds showed -0.3 USD mn of outflow.
REAL ESTATE SECTOR Equity funds showed 1342.8 USD mn of inflow.
TECHNOLOGY SECTOR Equity funds showed -824.5 USD mn of outflow.
UTILITIES SECTOR Equity funds showed 531.3 USD mn of inflow.
LONG SHORT Alternative funds showed 1.4 USD mn of inflow.
LONG SHORT Equity funds showed -134.2 USD mn of outflow.
LONG SHORT Fixed Income funds showed 13.9 USD mn of inflow.
LONG SHORT Mixed Allocation funds showed 0.5 USD mn of inflow.
Markets
Best global markets since the begining of the week FM (FRONTIER MARKETS) +1.17%, EM LATIN AMERICA +0.74%, EM (EMERGING MARKETS) +0.71%,
While worst global markets since the begining of the week EUROPE -0.34%, USA -0.08%, EFM ASIA 0.54%,
Best since the start of the week among various stock markets were BAHRAIN +5.72%, SOUTH AFRICA +5.31%, BANGLADESH +4.88%, UKRAINE +4.76%, VIETNAM +3.99%, KAZAKHSTAN +3.69%, MAURITIUS +3.45%, OMAN +3.26%, BOTSWANA +3.11%, THAILAND +2.71%,
While worst since the start of the week among various stock markets were ZIMBABWE -32.14%, EGYPT -5.01%, AUSTRALIA -2.92%, NORWAY -2.85%, TURKEY -2.69%, GHANA -2.60%, PAKISTAN -2.55%, LEBANON -2.33%, SRI LANKA -2.31%, NEW ZEALAND -2.26%,
Key Fund Flow Headlines
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Top 20 Funds Longs Based on Momentum
| Name | 1week | 1month | ytd | 6months | 1yr | Rank |
| ISHARES S&P MID-CAP 400 VALUE ETF (IJJ) | 0.894014 | 0.7504205 | 8.494141 | 7.221775 | 691315,00 | 999.99 |
| WTI CRUDE OIL PRICE LINKED ETF (9D311097) | 4.673846 | 1600829,00 | -0.5172576 | 15.52228 | 10.33399 | 999.99 |
| MARKET VECTORS RUSSIA ETF (RSX) | 2.644779 | 2.086168 | 6.079171 | 2345497,00 | 18.54859 | 999.99 |
| VANGUARD SMALL-CAP ETF (VB) | 1.30241 | 1937248,00 | 13.81041 | 9.322268 | 15.08412 | 999.99 |
| DB X-TRACKERS MSCI MALAYSIA TRN INDEX UCITS ETF - 1C (XCS3) | 1.345103 | 2.269353 | 17.35215 | 1893785,00 | 17.06725 | 999.99 |
| SPDR DOW JONES INTERNATIONAL REAL ESTATE ETF (SSGJ) | 0.008216813 | 0.9854312 | 12.1121 | 1182323,00 | 13.20302 | 999.99 |
| ABERDEEN GLOBAL - ASIA PACIFIC EQUITY FUND - CLASS A (EUR)-2 ACC (AAPAE2A) | 1.84435 | 151271,00 | 45.08596 | 15.17712 | 44.74367 | 999.99 |
| VANGUARD PRECIOUS METALS AND MINING FUND - INVESTOR (VGPMX) | 1.470588 | 0.7789679 | 10.13201 | 1.470588 | 2806433,00 | 999.99 |
| JPMORGAN FUNDS - US SELECT EQUITY PLUS FUND - CGBP (JPMUCII) | 1.428039 | 3.152089 | 25.49914 | 1504375,00 | 26.40522 | 999.99 |
| JPMORGAN FUNDS - US SELECT EQUITY PLUS FUND - AGBP (JPMUSXA) | 0.7476873 | 2.152152 | 17.36154 | 2222684,00 | 18.34351 | 999.99 |
| JPMORGAN FUNDS - RUSSIA FUND - A$ (FH5Q) | 1.760656 | 2.950354 | 4.619744 | 6.433664 | 911982,00 | 999.99 |
| ISHARES LATIN AMERICA 40 ETF (ILF) | 1.42391 | -1.978211 | 25.27672 | 2950735,00 | 24.22561 | 999.99 |
| FIDELITY SELECT BIOTECHNOLOGY PORTFOLIO (FBIOX) | 0.6520727 | -2.933118 | 24.15972 | 26604,00 | 12.12577 | 999.99 |
| DFA EMERGING MARKETS VALUE PORTFOLIO - R2 (DFEPX) | 1.668892 | 1130428,00 | 29.51103 | 9.980488 | 30.75746 | 999.99 |
| CALVERT GLOBAL WATER FUND - Y (CFWYX) | 1.268912 | 830564,00 | 17.36425 | 8.525105 | 16.76984 | 999.99 |
| DB X-TRACKERS FTSE 100 UCITS ETF DR INCOME - 1D (XUKX) | 1290769,00 | 0.6545159 | 16.68933 | 4.046835 | 20.84838 | 999.99 |
| COMSTAGE ETF MSCI TAIWAN TRN UCITS ETF (CBTAI) | 1.31925 | 2.067061 | 30.47466 | 527717,00 | 30.29277 | 999.99 |
| FIDEURAM MASTER SELECTION EQUITY ASIA (FDMSEAS) | 1.109459 | 2.665811 | 21.39168 | 2138405,00 | 22.26665 | 999.99 |
| AMUNDI - AMUNDI DIVERSIFICATION ACTIONS EMERGENTES - OC (AMDEAOC) | 2620252,00 | 3.947265 | 37.10846 | 15.66516 | 38.40463 | 999.99 |
| GENERALI JAPON - C (GENJAPO) | 0.3842776 | 1.720268 | 19.57207 | 2413067,00 | 20.99347 | 999.99 |
Top 20 Funds Shorts Based on Momentum
| Name | 1week | 1month | ytd | 6months | 1yr | Rank |
| VELOCITYSHARES 3X LONG NATURAL GAS ETN (UGAZ) | -13.32046 | -17.46324 | -80.55856 | -52.71195 | -69.41417 | -38.23 |
| PROSHARES ULTRASHORT MSCI BRAZIL CAPPED (BZQ) | -4.897959 | 0.7567568 | -48.84742 | -30.44776 | -50.24026 | -21.21 |
| LYXOR ETF FTSE MIB DAILY DOUBLE SHORT XBEAR (XBRMIB) | -4.287737 | 0.3693409 | -29.21821 | -11.13495 | -49.12825 | -16.05 |
| SIMPLEX CHINA BEAR 1X H-SHARE ETF (1573) | -3.518736 | -3.229856 | -25.61857 | -15.93463 | -23.01011 | -11.42 |
| SIMPLEX CHINA BEAR 1X H-SHARE ETF (9D31212C) | -2.669508 | -2.403755 | -25.36036 | -14.80903 | -21.995 | -10.47 |
| IPATH DOW JONES-UBS COFFEE SUBINDEX TOTAL RETURN ETN (JO) | -0.5009392 | -0.1257071 | -18.76278 | -10.78046 | -30.09239 | -10.37 |
| KAYNE ANDERSON MLP INVESTMENT CO (KYN) | 0.3360215 | -6.159648 | -15.87695 | -17.59841 | -16.60105 | -10.01 |
| ETFS COFFEE (COFF) | -0.9433987 | -0.4739361 | -16.39523 | -10.11673 | -27.47253 | -9.75 |
| ETFS DAILY SHORT COPPER (SCOP) | -2.803907 | 1.167388 | -21.82453 | -18.88587 | -16.95518 | -9.37 |
| CLEARBRIDGE ENERGY MLP FUND INC (CEM) | -0.6513411 | -5.640466 | -10.9375 | -16.96972 | -9.601267 | -8.22 |
| AUSTRALIA EQUITY INCOME FUND (DWAUEIP) | 0.7093539 | -2.454113 | -17.82734 | -11.61718 | -19.28063 | -8.16 |
| KAYNE ANDERSON ENERGY TOTAL RETURN FUND INC (KYE) | -0.2103049 | -7.774539 | -14.24209 | -13.04422 | -10.3203 | -7.84 |
| TORTOISE ENERGY INFRASTRUCTURE CORP (XTYGX) | -0.5349506 | -2.707731 | -15.09337 | -15.55489 | -11.28852 | -7.52 |
| ETRACS ALERIAN MLP INFRASTRUCTURE INDEX ETN (MLPI) | -0.3491925 | -1.806452 | -14.52939 | -14.19988 | -11.47576 | -6.96 |
| TORTOISE ENERGY INFRASTRUCTURE CORP (TYG) | -0.2485226 | 0.6295042 | -8.979138 | -17.31963 | -10.78153 | -6.93 |
| LYXOR ETF FTSE MIB DAILY SHORT BEAR (BERMIB) | -1.827692 | 0.7112641 | -10.32892 | -2.668509 | -23.75387 | -6.88 |
| ALERIAN MLP ETF (AMLP) | -0.7789679 | -1.826973 | -13.04337 | -13.16916 | -10.99484 | -6.69 |
| ETFS WHEAT (OD7S) | 1.011698 | -1.887158 | -8.621617 | -9.11558 | -15.52264 | -6.38 |
| KAYNE ANDERSON MLP INVESTMENT CO (XKYNX) | -0.2552648 | -1.698113 | -13.87359 | -13.13536 | -10.10948 | -6.30 |
| KAYNE ANDERSON ENERGY TOTAL RETURN FUND INC (XKYEX) | 0.09624639 | -2.439024 | -17.65668 | -10.1775 | -12.67209 | -6.30 |
Best Funds last Week
| Name | yesterday | ytd | 1week | 1month | 6months | 1yr | Rank |
| DB X-TRACKERS FTSE 100 UCITS ETF DR INCOME - 1D (XUKX) | 0.5041584 | 16.68933 | 1290769,00 | 0.6545159 | 4.046835 | 20.84838 | 999.99 |
| JPMORGAN FUNDS - KOREA EQUITY FUND (JR63) | 0.3449735 | 38.67863 | 419300,00 | 6.064026 | 9.715015 | 38.7308 | 999.99 |
| HBM HEALTHCARE INVESTMENTS AG (5H5A) | 0.578047 | 45.7948 | 6.200655 | 9.308805 | 19.2988 | 42.67665 | 19.37 |
| CITIC-PRUDENTIAL CSI 800 NONFERROUS METAL INDEX FUND (150151) | 1.69124 | 55.46281 | 6.150674 | -9.064706 | 62.88832 | 34.70763 | 23.67 |
| LYXOR ETF FTSE MIB DAILY LEVERAGED (LEVMI) | 2.117279 | 57.54404 | 5.52465 | 0.4161046 | 20.44967 | 113.8325 | 35.06 |
| BAILLIE GIFFORD JAPAN TRUST PLC/THE (BGFD) | 0.5034584 | 61.12456 | 5.039774 | 11.37995 | 34.64745 | 61.06271 | 28.03 |
| WTI CRUDE OIL PRICE LINKED ETF (9D311097) | 2.124419 | -0.5172576 | 4.673846 | 1600829,00 | 15.52228 | 10.33399 | 999.99 |
| NEXT NOTES NIKKEI TOCOM LEVERAGED CRUDE OIL ETN (2038) | 0.06609355 | 3.880327 | 4.598592 | 19.73739 | 31.93301 | 38.15226 | 23.61 |
| WTI CRUDE OIL PRICE LINKED ETF (1671) | 0.6303288 | -1.095419 | 4.59472 | 12.10353 | 16.42659 | 9.968207 | 10.77 |
| EAST CAPITAL LUX - RUSSIAN FUND (EC0A) | 0.9083172 | 18.73359 | 4.575957 | 3.363665 | 16.32554 | 27.78401 | 13.01 |
| DB X-TRACKERS FTSE VIETNAM UCITS ETF (XVTD) | 0.8312106 | 36.08058 | 4.408921 | 14.02263 | 24.3905 | 28.15869 | 17.75 |
| DB X-TRACKERS MSCI BRAZIL INDEX UCITS ETF (XMBR) | 0.3650373 | 23.65079 | 4.097991 | -1.204824 | 18.62944 | 25.30831 | 11.71 |
| NEXT FUNDS IBOVESPA LINKED EXCHANGE TRADED FUND (1325) | 0.1436041 | 24.53902 | 4.066687 | -1.135197 | 18.23262 | 26.14387 | 11.83 |
| SCHRODER BRICS SECURITIES FEEDER INVESTMENT TRUST A - EQUITY (0525291) | -0.7139676 | 51.62711 | 4.027061 | 6.480531 | 23.90078 | 47.96314 | 20.59 |
| TRACKER FUND OF HONG KONG LTD (TF5) | 3.516074 | 40.64718 | 3.928315 | 12.34545 | 19.24202 | 34.85861 | 17.59 |
| ISHARES MSCI POLAND UCITS ETF (IPOL) | 0.2397085 | 54.33248 | 3.810038 | 4.691412 | 15.97733 | 64.66358 | 22.29 |
| LYXOR ETF WIG20 (ETFW20L) | -0.2940073 | 53.01725 | 3.806185 | 4.086413 | 14.6754 | 67.00148 | 22.39 |
| ISHARES US TELECOMMUNICATIONS ETF (ISQC) | -0.4553876 | -13.62164 | 3.680324 | -4.436006 | -9.404588 | -7.347026 | -4.38 |
| ISHARES MSCI RUSSIA ADR/GDR UCITS ETF (CEBB) | 1.672748 | 1447639,00 | 3.630201 | 7.239943 | 18.63141 | 20.38606 | 12.47 |
| NEXT FUNDS IBOVESPA LINKED EXCHANGE TRADED FUND (01311087) | 0.1676875 | 23.87077 | 3.616764 | -0.4627352 | 18.30772 | 25.85468 | 11.83 |
Worst Funds last Week
| Name | yesterday | ytd | 1week | 1month | 6months | 1yr | Rank |
| CHINA UNIVERSAL CSI CONSUMER STAPLES INDEX ETF (159928) | -1.977112 | 58.24066 | -4.457903 | 2.630472 | 38.31269 | 57.40412 | 23.47 |
| LYXOR ETF FTSE MIB DAILY DOUBLE SHORT XBEAR (XBRMIB) | -1.667621 | -29.21821 | -4.287737 | 0.3693409 | -11.13495 | -49.12825 | -16.05 |
| ISHARES MSCI TURKEY UCITS ETF (IDTK) | -0.8349242 | 21.01133 | -3.636362 | -7.580698 | -3.842955 | 23.65785 | 2.15 |
| LYXOR ETF TURKEY EURO (TURU) | -0.9263129 | 19.74555 | -3.57545 | -7.743577 | -4.378744 | 23.48465 | 1.95 |
| SIMPLEX CHINA BEAR 1X H-SHARE ETF (1573) | 0.2716649 | -25.61857 | -3.518736 | -3.229856 | -15.93463 | -23.01011 | -11.42 |
| YINHUA CONSUMPTION THEME FUND (150048) | -2.901188 | 35.98829 | -3.425556 | 8.273241 | 32.78497 | 27.17805 | 16.20 |
| ISHARES MSCI TURKEY ETF (ISVZ) | -1.744865 | 20.56163 | -3.108857 | -5.93976 | -2.427928 | 20.93233 | 2.36 |
| SIMPLEX CHINA BEAR 1X H-SHARE ETF (9D31212C) | 0.320113 | -25.36036 | -2.669508 | -2.403755 | -14.80903 | -21.995 | -10.47 |
| HSBC MSCI TURKEY UCITS ETF (H4Z2) | 0.7438132 | 22.29887 | -2.2402 | -5.861888 | -2.274435 | 25.79032 | 3.85 |
| LYXOR ETF FTSE MIB DAILY SHORT BEAR (BERMIB) | -0.6915923 | -10.32892 | -1.827692 | 0.7112641 | -2.668509 | -23.75387 | -6.88 |
| HANWHA CHINA MAINLAND SECURITIES FEEDER INVESTMENT TRUST H - EQUITY - C-F (3991497) | -3.260066 | 56.40943 | -1.195498 | 6.538144 | 29.38888 | 45.26279 | 20.00 |
| LYXOR ETF IBEX 35 DOBLE INVERSO DIARIO (2INVE) | -1.107501 | -14.28768 | -0.9643959 | 1.929489 | 15.99752 | -27.63788 | -2.67 |
| ETFS COFFEE (COFF) | -0.7305568 | -16.39523 | -0.9433987 | -0.4739361 | -10.11673 | -27.47253 | -9.75 |
| CONSUMER STAPLES SELECT SECTOR SPDR FUND (SD7I) | 0.9755642 | 7.444861 | -0.9322975 | 2.83622 | -1.121327 | 10.07318 | 2.71 |
| JPMORGAN INDIAN INVESTMENT TRUST PLC (3J8) | 0.05235673 | 56.92131 | -0.8674807 | 0.3904157 | 7.380034 | 36.58529 | 10.87 |
| ISHARES MSCI SPAIN CAPPED ETF (ISVS) | -0.1692452 | 26.59315 | -0.7514673 | -0.1053672 | -1.419243 | 34.73425 | 8.11 |
| GOLDMAN SACHS US REIT FUND A COURSE - COLUMBUS EGG (3531103A) | -0.8399432 | 3.541575 | -0.6335599 | 2.72215 | 0.2845545 | 4.459244 | 1.71 |
| ISHARES MSCI SWEDEN ETF (ISVT) | -0.2543883 | 24.49499 | -0.6116683 | -4.281422 | 3.918116 | 28.66758 | 6.92 |
| BOCI-PRUDENTIAL - W.I.S.E. - CSI CHINA TRACKER FUND (2827) | 0.2925172 | 32.28817 | -0.6044461 | 2.740546 | 25.36401 | 25.39213 | 13.22 |
| LYXOR UCITS ETF IBEX 35 INVERSO DIARIO (INVEX) | -0.751638 | -1.486603 | -0.5925136 | 1.166988 | 10.97052 | -9.360277 | 0.55 |
Best Funds last Month
| Name | yesterday | ytd | 1week | 1month | 6months | 1yr | Rank |
| WTI CRUDE OIL PRICE LINKED ETF (9D311097) | 2.124419 | -0.5172576 | 4.673846 | 1600829,00 | 15.52228 | 10.33399 | 999.99 |
| NEXT NOTES NIKKEI TOCOM LEVERAGED CRUDE OIL ETN (2038) | 0.06609355 | 3.880327 | 4.598592 | 19.73739 | 31.93301 | 38.15226 | 23.61 |
| KB CHINA MAINLAND A SHARE LEVERAGE SEC MASTER INVST TRUST-EQUITY-DERV FOF (3AF8884) | -4.5531 | 74.75113 | 3.011847 | 15.90406 | 41.08286 | 57.10729 | 29.28 |
| KB CHINA MAINLAND A SHARE LEVERAGE SEC FEEDER INVST TRUST-EQUITY-DERV FOF (3AF8926) | -4.546234 | 71.22883 | 2.965484 | 15.66651 | 39.48194 | 53.63744 | 27.94 |
| MIRAE ASSET TIGER CHINA CONSUMER ETF (150460) | -0.3180058 | 34.49594 | 2.219795 | 15.07678 | 7.661512 | 37.80026 | 15.69 |
| DB X-TRACKERS FTSE VIETNAM UCITS ETF (XVTD) | 0.8312106 | 36.08058 | 4.408921 | 14.02263 | 24.3905 | 28.15869 | 17.75 |
| UBS HANA AMBATOVY NICKEL OVERSEAS INVESTMENT COMPANY 1 (099340) | 1.622347 | 50.6645 | 3.177168 | 12.72535 | 46.91851 | 58.73735 | 30.39 |
| TRACKER FUND OF HONG KONG LTD (TF5) | 3.516074 | 40.64718 | 3.928315 | 12.34545 | 19.24202 | 34.85861 | 17.59 |
| WTI CRUDE OIL PRICE LINKED ETF (1671) | 0.6303288 | -1.095419 | 4.59472 | 12.10353 | 16.42659 | 9.968207 | 10.77 |
| BAILLIE GIFFORD JAPAN TRUST PLC/THE (BGFD) | 0.5034584 | 61.12456 | 5.039774 | 11.37995 | 34.64745 | 61.06271 | 28.03 |
| UNITED STATES OIL FUND LP (U9N) | 0.7738849 | -0.006067611 | 3.337969 | 11.27166 | 14.30114 | 10.14833 | 9.76 |
| JPMORGAN JAPAN SMALLER COMPANIES TRUST PLC (JPS) | 1.005331 | 51.71001 | 2.096012 | 10.28776 | 27.47399 | 52.82801 | 23.17 |
| POLAR CAPITAL TECHNOLOGY TRUST PLC (PCT) | 1.156049 | 53.2905 | 2.956026 | 9.596308 | 23.14244 | 53.96259 | 22.41 |
| HBM HEALTHCARE INVESTMENTS AG (5H5A) | 0.578047 | 45.7948 | 6.200655 | 9.308805 | 19.2988 | 42.67665 | 19.37 |
| MIRAE ASSET TIGER CONSUMER STAPLES ETF (139280) | 0.1372718 | 25.94699 | 1.715727 | 9.014825 | 4.671598 | 26.85601 | 10.56 |
| HSBC CHINA DRAGON FUND (820) | -0.1382869 | 36.79002 | 1.258873 | 8.718181 | 25.9983 | 30.65458 | 16.66 |
| CSOP FTSE CHINA A50 ETF (82822) | 0.4159943 | 43.56778 | 0.6332895 | 8.574476 | 28.92388 | 37.43827 | 18.89 |
| YINHUA CONSUMPTION THEME FUND (150048) | -2.901188 | 35.98829 | -3.425556 | 8.273241 | 32.78497 | 27.17805 | 16.20 |
| FIDELITY JAPANESE VALUES PLC (FJV) | 0.1428001 | 56.31289 | 2.197001 | 8.070933 | 36.20969 | 55.81723 | 25.57 |
| GAM STAR FUND PLC - CHINA EQUITY (GAF4) | 0.7525467 | 50.82117 | 1.836169 | 7.812444 | 20.97202 | 41.42231 | 18.01 |
Worst Funds last Month
| Name | yesterday | ytd | 1week | 1month | 6months | 1yr | Rank |
| WTI CRUDE OIL PRICE LINKED ETF (9D311097) | 2.124419 | -0.5172576 | 4.673846 | 1600829,00 | 15.52228 | 10.33399 | 999.99 |
| NEXT NOTES NIKKEI TOCOM LEVERAGED CRUDE OIL ETN (2038) | 0.06609355 | 3.880327 | 4.598592 | 19.73739 | 31.93301 | 38.15226 | 23.61 |
| KB CHINA MAINLAND A SHARE LEVERAGE SEC MASTER INVST TRUST-EQUITY-DERV FOF (3AF8884) | -4.5531 | 74.75113 | 3.011847 | 15.90406 | 41.08286 | 57.10729 | 29.28 |
| KB CHINA MAINLAND A SHARE LEVERAGE SEC FEEDER INVST TRUST-EQUITY-DERV FOF (3AF8926) | -4.546234 | 71.22883 | 2.965484 | 15.66651 | 39.48194 | 53.63744 | 27.94 |
| MIRAE ASSET TIGER CHINA CONSUMER ETF (150460) | -0.3180058 | 34.49594 | 2.219795 | 15.07678 | 7.661512 | 37.80026 | 15.69 |
| DB X-TRACKERS FTSE VIETNAM UCITS ETF (XVTD) | 0.8312106 | 36.08058 | 4.408921 | 14.02263 | 24.3905 | 28.15869 | 17.75 |
| UBS HANA AMBATOVY NICKEL OVERSEAS INVESTMENT COMPANY 1 (099340) | 1.622347 | 50.6645 | 3.177168 | 12.72535 | 46.91851 | 58.73735 | 30.39 |
| TRACKER FUND OF HONG KONG LTD (TF5) | 3.516074 | 40.64718 | 3.928315 | 12.34545 | 19.24202 | 34.85861 | 17.59 |
| WTI CRUDE OIL PRICE LINKED ETF (1671) | 0.6303288 | -1.095419 | 4.59472 | 12.10353 | 16.42659 | 9.968207 | 10.77 |
| BAILLIE GIFFORD JAPAN TRUST PLC/THE (BGFD) | 0.5034584 | 61.12456 | 5.039774 | 11.37995 | 34.64745 | 61.06271 | 28.03 |
| UNITED STATES OIL FUND LP (U9N) | 0.7738849 | -0.006067611 | 3.337969 | 11.27166 | 14.30114 | 10.14833 | 9.76 |
| JPMORGAN JAPAN SMALLER COMPANIES TRUST PLC (JPS) | 1.005331 | 51.71001 | 2.096012 | 10.28776 | 27.47399 | 52.82801 | 23.17 |
| POLAR CAPITAL TECHNOLOGY TRUST PLC (PCT) | 1.156049 | 53.2905 | 2.956026 | 9.596308 | 23.14244 | 53.96259 | 22.41 |
| HBM HEALTHCARE INVESTMENTS AG (5H5A) | 0.578047 | 45.7948 | 6.200655 | 9.308805 | 19.2988 | 42.67665 | 19.37 |
| MIRAE ASSET TIGER CONSUMER STAPLES ETF (139280) | 0.1372718 | 25.94699 | 1.715727 | 9.014825 | 4.671598 | 26.85601 | 10.56 |
| HSBC CHINA DRAGON FUND (820) | -0.1382869 | 36.79002 | 1.258873 | 8.718181 | 25.9983 | 30.65458 | 16.66 |
| CSOP FTSE CHINA A50 ETF (82822) | 0.4159943 | 43.56778 | 0.6332895 | 8.574476 | 28.92388 | 37.43827 | 18.89 |
| YINHUA CONSUMPTION THEME FUND (150048) | -2.901188 | 35.98829 | -3.425556 | 8.273241 | 32.78497 | 27.17805 | 16.20 |
| FIDELITY JAPANESE VALUES PLC (FJV) | 0.1428001 | 56.31289 | 2.197001 | 8.070933 | 36.20969 | 55.81723 | 25.57 |
| GAM STAR FUND PLC - CHINA EQUITY (GAF4) | 0.7525467 | 50.82117 | 1.836169 | 7.812444 | 20.97202 | 41.42231 | 18.01 |
Best Funds YTD
| Name | yesterday | ytd | 1week | 1month | 6months | 1yr | Rank |
| ISHARES CORE S&P SMALL-CAP ETF (IJR) | 1.071109 | 2138071,00 | 3.161549 | 2.786388 | 11.05344 | 11.98323 | 7.25 |
| ISHARES MSCI RUSSIA ADR/GDR UCITS ETF (CEBB) | 1.672748 | 1447639,00 | 3.630201 | 7.239943 | 18.63141 | 20.38606 | 12.47 |
| ISHARES GOLD TRUST (I6HB) | -0.2443748 | 243923,00 | -0.1927983 | 0.9035461 | 0.8995401 | 8.731882 | 2.59 |
| KB CHINA MAINLAND A SHARE LEVERAGE SEC MASTER INVST TRUST-EQUITY-DERV FOF (3AF8884) | -4.5531 | 74.75113 | 3.011847 | 15.90406 | 41.08286 | 57.10729 | 29.28 |
| KB CHINA MAINLAND A SHARE LEVERAGE SEC FEEDER INVST TRUST-EQUITY-DERV FOF (3AF8926) | -4.546234 | 71.22883 | 2.965484 | 15.66651 | 39.48194 | 53.63744 | 27.94 |
| SIMPLEX CHINA BULL 2X H-SHARE ETF (9D31112C) | -2.747401 | 63.71498 | 2.51104 | 4.975501 | 29.35995 | 51.78745 | 22.16 |
| FRANKLIN TEMPLETON INVESTMENT FUNDS - TEMPLETON BRIC FUND (F7RH) | 0.2430614 | 61.97169 | 2.418308 | 7.63334 | 30.85205 | 63.40143 | 26.08 |
| SIMPLEX CHINA BULL 2X H-SHARE ETF (1572) | -2.303763 | 61.90546 | 1.927723 | 7.216833 | 32.16984 | 54.16584 | 23.87 |
| BAILLIE GIFFORD JAPAN TRUST PLC/THE (BGFD) | 0.5034584 | 61.12456 | 5.039774 | 11.37995 | 34.64745 | 61.06271 | 28.03 |
| ASIAN TOTAL RETURN INVESTMENT CO PLC (ATR) | 0.2106935 | 58.36328 | 2.279367 | 5.753258 | 30.35657 | 58.12685 | 24.13 |
| CHINA UNIVERSAL CSI CONSUMER STAPLES INDEX ETF (159928) | -1.977112 | 58.24066 | -4.457903 | 2.630472 | 38.31269 | 57.40412 | 23.47 |
| LYXOR ETF FTSE MIB DAILY LEVERAGED (LEVMI) | 2.117279 | 57.54404 | 5.52465 | 0.4161046 | 20.44967 | 113.8325 | 35.06 |
| JPMORGAN INDIAN INVESTMENT TRUST PLC (3J8) | 0.05235673 | 56.92131 | -0.8674807 | 0.3904157 | 7.380034 | 36.58529 | 10.87 |
| HANWHA CHINA MAINLAND SECURITIES FEEDER INVESTMENT TRUST H - EQUITY - C-F (3991497) | -3.260066 | 56.40943 | -1.195498 | 6.538144 | 29.38888 | 45.26279 | 20.00 |
| FIDELITY JAPANESE VALUES PLC (FJV) | 0.1428001 | 56.31289 | 2.197001 | 8.070933 | 36.20969 | 55.81723 | 25.57 |
| BLACKROCK GLOBAL FUNDS - CHINA FUND - HEDGE EURA2 (H2ZP) | 1.286345 | 55.72126 | 3.181084 | 6.108006 | 25.28322 | 51.17324 | 21.44 |
| CITIC-PRUDENTIAL CSI 800 NONFERROUS METAL INDEX FUND (150151) | 1.69124 | 55.46281 | 6.150674 | -9.064706 | 62.88832 | 34.70763 | 23.67 |
| ISHARES MSCI POLAND UCITS ETF (IPOL) | 0.2397085 | 54.33248 | 3.810038 | 4.691412 | 15.97733 | 64.66358 | 22.29 |
| POLAR CAPITAL TECHNOLOGY TRUST PLC (PCT) | 1.156049 | 53.2905 | 2.956026 | 9.596308 | 23.14244 | 53.96259 | 22.41 |
| LYXOR ETF WIG20 (ETFW20L) | -0.2940073 | 53.01725 | 3.806185 | 4.086413 | 14.6754 | 67.00148 | 22.39 |
Worst Funds YTD
| Name | yesterday | ytd | 1week | 1month | 6months | 1yr | Rank |
| LYXOR ETF FTSE MIB DAILY DOUBLE SHORT XBEAR (XBRMIB) | -1.667621 | -29.21821 | -4.287737 | 0.3693409 | -11.13495 | -49.12825 | -16.05 |
| SIMPLEX CHINA BEAR 1X H-SHARE ETF (1573) | 0.2716649 | -25.61857 | -3.518736 | -3.229856 | -15.93463 | -23.01011 | -11.42 |
| SIMPLEX CHINA BEAR 1X H-SHARE ETF (9D31212C) | 0.320113 | -25.36036 | -2.669508 | -2.403755 | -14.80903 | -21.995 | -10.47 |
| ETFS COFFEE (COFF) | -0.7305568 | -16.39523 | -0.9433987 | -0.4739361 | -10.11673 | -27.47253 | -9.75 |
| LYXOR ETF IBEX 35 DOBLE INVERSO DIARIO (2INVE) | -1.107501 | -14.28768 | -0.9643959 | 1.929489 | 15.99752 | -27.63788 | -2.67 |
| ISHARES US TELECOMMUNICATIONS ETF (ISQC) | -0.4553876 | -13.62164 | 3.680324 | -4.436006 | -9.404588 | -7.347026 | -4.38 |
| LYXOR ETF FTSE MIB DAILY SHORT BEAR (BERMIB) | -0.6915923 | -10.32892 | -1.827692 | 0.7112641 | -2.668509 | -23.75387 | -6.88 |
| YINHUA CSI CHINA MAINLAND NATURAL RESOURCE INDEX FUND (150059) | -0.8101451 | -9.558611 | 1.660899 | -2.301478 | -7.935543 | -8.261616 | -4.21 |
| ETFS AGRICULTURE DJ-UBSCI (AIGA) | 0.3899254 | -9.534662 | 1.275782 | 0.5594851 | -4.213172 | -13.02522 | -3.85 |
| UBS HANA AMBATOVY NICKEL OVERSEAS INVESTMENT COMPANY 1 (2772642) | -0.2022606 | -6.852929 | 1.148585 | 2.144746 | 6.237411 | -16.43959 | -1.73 |
| POWERSHARES DB AGRICULTURE FUND (P44A) | -0.1484003 | -3.932027 | 0.4970755 | 0.3256533 | -3.105616 | -5.501643 | -1.95 |
| MARKET VECTORS JUNIOR GOLD MINERS ETF (VE42) | 0.08737245 | -3.060373 | 0.376262 | -0.4944387 | 1.696287 | 1.48918 | 0.77 |
| DAIWA J-REIT OPEN (0431103B) | 0.3727656 | -2.724007 | 2.497631 | 4.555381 | -2.684301 | 1.287352 | 1.41 |
| MERCANTILE INVESTMENT CO LTD (21IA) | 0.1603507 | -2.197992 | 0.5592272 | -2.268572 | 6.182339 | 6.702893 | 2.79 |
| LYXOR UCITS ETF IBEX 35 INVERSO DIARIO (INVEX) | -0.751638 | -1.486603 | -0.5925136 | 1.166988 | 10.97052 | -9.360277 | 0.55 |
| WTI CRUDE OIL PRICE LINKED ETF (1671) | 0.6303288 | -1.095419 | 4.59472 | 12.10353 | 16.42659 | 9.968207 | 10.77 |
| WTI CRUDE OIL PRICE LINKED ETF (9D311097) | 2.124419 | -0.5172576 | 4.673846 | 1600829,00 | 15.52228 | 10.33399 | 999.99 |
| BARRAMUNDI LTD (BRM) | -0.1161311 | -0.3055577 | 0.9684497 | 3.208289 | 0.64534 | 1.12547 | 1.49 |
| UNITED STATES OIL FUND LP (U9N) | 0.7738849 | -0.006067611 | 3.337969 | 11.27166 | 14.30114 | 10.14833 | 9.76 |
| ISHARES GLOBAL ENERGY ETF (ISQQ) | -0.2255515 | 0.252253 | 1.163935 | 1.311531 | 6.962277 | 4.314257 | 3.44 |
Best Funds 1yr
| Name | yesterday | ytd | 1week | 1month | 6months | 1yr | Rank |
| DB X-TRACKERS II IBOXX GLOBAL INFLATION-LINKED TOTAL RETURN INDEX HEDGED ETF-USD (XG7U) | 0.1017473 | 3.134498 | 0.5724773 | 2.011611 | 1.058035 | 2822656,00 | 999.99 |
| JPMORGAN FUNDS - RUSSIA FUND - A$ (FH5Q) | 0.9950281 | 4.619744 | 1.760656 | 2.950354 | 6.433664 | 911982,00 | 999.99 |
| LYXOR ETF FTSE MIB DAILY LEVERAGED (LEVMI) | 2.117279 | 57.54404 | 5.52465 | 0.4161046 | 20.44967 | 113.8325 | 35.06 |
| LYXOR ETF WIG20 (ETFW20L) | -0.2940073 | 53.01725 | 3.806185 | 4.086413 | 14.6754 | 67.00148 | 22.39 |
| ISHARES MSCI POLAND UCITS ETF (IPOL) | 0.2397085 | 54.33248 | 3.810038 | 4.691412 | 15.97733 | 64.66358 | 22.29 |
| FRANKLIN TEMPLETON INVESTMENT FUNDS - TEMPLETON BRIC FUND (F7RH) | 0.2430614 | 61.97169 | 2.418308 | 7.63334 | 30.85205 | 63.40143 | 26.08 |
| BAILLIE GIFFORD JAPAN TRUST PLC/THE (BGFD) | 0.5034584 | 61.12456 | 5.039774 | 11.37995 | 34.64745 | 61.06271 | 28.03 |
| UBS HANA AMBATOVY NICKEL OVERSEAS INVESTMENT COMPANY 1 (099340) | 1.622347 | 50.6645 | 3.177168 | 12.72535 | 46.91851 | 58.73735 | 30.39 |
| ASIAN TOTAL RETURN INVESTMENT CO PLC (ATR) | 0.2106935 | 58.36328 | 2.279367 | 5.753258 | 30.35657 | 58.12685 | 24.13 |
| AMUNDI ETF FTSE MIB UCITS ETF (FMI) | 0.7073392 | 35.1114 | 2.716456 | 0.532159 | 13.60029 | 57.70477 | 18.64 |
| LYXOR ETF FTSE MIB - EUR (ETFMI) | 0.954842 | 35.1754 | 3.005076 | 0.7974366 | 14.39023 | 57.62536 | 18.95 |
| AMUNDI ETF MSCI EASTERN EUROPE EX RUSSIA UCITS ETF - EUR (CE9U) | -0.01614834 | 48.17711 | 3.430228 | 3.206092 | 15.89555 | 57.58039 | 20.03 |
| CHINA UNIVERSAL CSI CONSUMER STAPLES INDEX ETF (159928) | -1.977112 | 58.24066 | -4.457903 | 2.630472 | 38.31269 | 57.40412 | 23.47 |
| DB X-TRACKERS FTSE MIB INDEX UCITS ETF DR (XMIB) | 1.114256 | 34.75477 | 3.033441 | 0.6682072 | 13.5338 | 57.26604 | 18.63 |
| LYXOR ETF IBEX 35 DOBLE APALANCADO DIARIO (IBEXA) | 1.232945 | 34.67653 | 2.000192 | -1.258178 | -7.614844 | 57.16169 | 12.57 |
| KB CHINA MAINLAND A SHARE LEVERAGE SEC MASTER INVST TRUST-EQUITY-DERV FOF (3AF8884) | -4.5531 | 74.75113 | 3.011847 | 15.90406 | 41.08286 | 57.10729 | 29.28 |
| FIDELITY JAPANESE VALUES PLC (FJV) | 0.1428001 | 56.31289 | 2.197001 | 8.070933 | 36.20969 | 55.81723 | 25.57 |
| ISHARES ATX UCITS DE (ATXEX) | 0.6609374 | 44.36336 | 0.368389 | -1.245178 | 14.51515 | 55.21724 | 17.21 |
| SIMPLEX CHINA BULL 2X H-SHARE ETF (1572) | -2.303763 | 61.90546 | 1.927723 | 7.216833 | 32.16984 | 54.16584 | 23.87 |
| POLAR CAPITAL TECHNOLOGY TRUST PLC (PCT) | 1.156049 | 53.2905 | 2.956026 | 9.596308 | 23.14244 | 53.96259 | 22.41 |
Worst Funds 1yr
| Name | yesterday | ytd | 1week | 1month | 6months | 1yr | Rank |
| LYXOR ETF FTSE MIB DAILY DOUBLE SHORT XBEAR (XBRMIB) | -1.667621 | -29.21821 | -4.287737 | 0.3693409 | -11.13495 | -49.12825 | -16.05 |
| LYXOR ETF IBEX 35 DOBLE INVERSO DIARIO (2INVE) | -1.107501 | -14.28768 | -0.9643959 | 1.929489 | 15.99752 | -27.63788 | -2.67 |
| ETFS COFFEE (COFF) | -0.7305568 | -16.39523 | -0.9433987 | -0.4739361 | -10.11673 | -27.47253 | -9.75 |
| LYXOR ETF FTSE MIB DAILY SHORT BEAR (BERMIB) | -0.6915923 | -10.32892 | -1.827692 | 0.7112641 | -2.668509 | -23.75387 | -6.88 |
| SIMPLEX CHINA BEAR 1X H-SHARE ETF (1573) | 0.2716649 | -25.61857 | -3.518736 | -3.229856 | -15.93463 | -23.01011 | -11.42 |
| SIMPLEX CHINA BEAR 1X H-SHARE ETF (9D31212C) | 0.320113 | -25.36036 | -2.669508 | -2.403755 | -14.80903 | -21.995 | -10.47 |
| UBS HANA AMBATOVY NICKEL OVERSEAS INVESTMENT COMPANY 1 (2772642) | -0.2022606 | -6.852929 | 1.148585 | 2.144746 | 6.237411 | -16.43959 | -1.73 |
| ETFS AGRICULTURE DJ-UBSCI (AIGA) | 0.3899254 | -9.534662 | 1.275782 | 0.5594851 | -4.213172 | -13.02522 | -3.85 |
| LYXOR UCITS ETF IBEX 35 INVERSO DIARIO (INVEX) | -0.751638 | -1.486603 | -0.5925136 | 1.166988 | 10.97052 | -9.360277 | 0.55 |
| YINHUA CSI CHINA MAINLAND NATURAL RESOURCE INDEX FUND (150059) | -0.8101451 | -9.558611 | 1.660899 | -2.301478 | -7.935543 | -8.261616 | -4.21 |
| ISHARES US TELECOMMUNICATIONS ETF (ISQC) | -0.4553876 | -13.62164 | 3.680324 | -4.436006 | -9.404588 | -7.347026 | -4.38 |
| POWERSHARES DB AGRICULTURE FUND (P44A) | -0.1484003 | -3.932027 | 0.4970755 | 0.3256533 | -3.105616 | -5.501643 | -1.95 |
| MIRAE ROGERS AGRICULTURAL PRODUCT INDEX SPECIAL ASSET INVEST CMDTY-DERIVATIVE (5620974) | 0.4872895 | 4.178861 | 1.51163 | 4.939945 | -1.550374 | -0.1910646 | 1.18 |
| ETFS NICKEL (NICK) | 0.6437801 | 15.4888 | 3.532012 | -0.170282 | 30.27778 | -0.06392174 | 8.39 |
| SCHRODER INTERNATIONAL SELECTION FUND - ASIAN BOND ABSOLUTE RETURN - C (HV81) | -0.1543712 | 3.774765 | 0.1645663 | 0.4177614 | 2.39011 | 0.2007392 | 0.79 |
| SPDR S&P METALS & MINING ETF (SSGG) | -0.1025362 | 1.085239 | 2.328827 | -5.808499 | 7.880489 | 0.3228407 | 1.18 |
| BARRAMUNDI LTD (BRM) | -0.1161311 | -0.3055577 | 0.9684497 | 3.208289 | 0.64534 | 1.12547 | 1.49 |
| DAIWA J-REIT OPEN (0431103B) | 0.3727656 | -2.724007 | 2.497631 | 4.555381 | -2.684301 | 1.287352 | 1.41 |
| MARKET VECTORS JUNIOR GOLD MINERS ETF (VE42) | 0.08737245 | -3.060373 | 0.376262 | -0.4944387 | 1.696287 | 1.48918 | 0.77 |
| DB X-TRACKERS II IBOXX GLOBAL INFLATION-LINKED TOTAL RETURN INDEX HEDGED ETF-USD (XG7U) | -0.2305186 | 2.395641 | 0.5100048 | 1.438995 | 0.6145449 | 3.238161 | 1.45 |


















