Go directly tomain navigation, search input field or thecontent

All Funds

Performance as per 31-03-2012
FundnameNAV *3 monthYTD1 year3 year avg
Triodos Microfinance Fund R-cap***EUR 28.231.8%1.8%7.3%-
Triodos Microfinance Fund R-dis***EUR 27.161.8%1.8%7.3%-
Triodos Renewables Europe Fund R-cap**EUR 32.920.6%0.6%13.5%5.1%
Triodos Sustainable Bond Fund R-cap*EUR 31.102.0%2.0%8.4%5.4%
Triodos Sustainable Bond Fund R-dis*EUR 29.502.0%2.0%8.4%5.4%
Triodos Sustainable Equity Fund R-cap*EUR 20.458.6%8.6%2.2%16.9%
Triodos Sustainable Equity Fund R-dis*EUR 21.368.5%8.5%2.1%17.6%
Triodos Sustainable Mixed Fund R-dis*EUR 27.654.3%4.3%6.4%10.8%
Triodos Sustainable Pioneer Fund R-cap*EUR 19.264.7%4.7%-17.3%8.4%

* NAV: Net asset value as per 15-05-2012
** NAV is determined weekly on Thursday 
*** NAV is determined monthly and published by the 10th of the new month