Funds by SYZ Asset Management (Luxembou

Fund & Sector
1 Month Perf.
1 Year Perf.
3 Year Perf.
5 Year Perf.
OCF
Oyster Cont Euro Select
FO Equity - Europe ex UK
View Factsheet
2.6%
-
34.3%
-
-
-
-
-
-
Oyster US Selection
FO Equity - USA
View Factsheet
1.3%
-
34.2%
-
-
-
-
-
-
Oyster Emerging Opps
FO Equity - Emerging Markets
View Factsheet
-0.3%
-
32.6%
-
-
-
-
-
-
Oyster World Opps
FO Equity - International
View Factsheet
-0.1%
369 / 495
13.9%
169 / 473
44.5%
40 / 375
103.2%
31 / 288
-
Oyster Global High Yield
FO Fixed Int - Global High Yield
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0.4%
19 / 83
11.4%
14 / 77
12.3%
29 / 59
-
-
-
Oyster Global High Div
FO Equity - International
View Factsheet
0.8%
168 / 495
11%
287 / 473
12.8%
262 / 375
-
-
-
Oyster Eurpn Seltn
FO Equity - Europe inc UK
View Factsheet
-0.4%
185 / 233
6.6%
53 / 224
-
-
-
-
-
Oyster Eurpn M & S Cap
FO Equity - Europe inc UK
View Factsheet
0.4%
89 / 233
6.1%
64 / 224
22.8%
70 / 200
79.3%
64 / 176
-
Oyster USD Bonds
FO Fixed Int - USD
View Factsheet
-0.1%
36 / 42
5.9%
23 / 41
-
-
-
-
-
Oyster Eurpn Corp Bonds
FO Fixed Int - EUR Corporate Bond
View Factsheet
-1%
-
4.5%
-
-
-
-
-
-
Oyster Absolute Return GBP
FO Absolute Return
View Factsheet
-0.2%
100 / 139
4.4%
29 / 128
-
-
-
-
0.74%
Oyster MltAstAbstRtrn€
FO Absolute Return
View Factsheet
0.1%
59 / 139
4.1%
32 / 128
-
-
-
-
0.54%
Oyster European Opps
FO Equity - Europe inc UK
View Factsheet
-1%
219 / 233
2.6%
130 / 224
16.3%
118 / 200
65.3%
109 / 176
-
Oyster Japan Opps
FO Equity - Japan
View Factsheet
3.6%
64 / 116
1.9%
70 / 110
23.4%
27 / 91
86.8%
20 / 84
-
Oyster Gbl Convtl
FO Convertible
View Factsheet
0.3%
27 / 74
0.9%
56 / 71
3%
54 / 62
20.3%
46 / 51
-
Oyster Flexible Credit
FO Fixed Int - Global
View Factsheet
0.2%
87 / 305
-0.3%
280 / 287
-
-
-
-
-
Oyster Market Neutral
FO Hedge/Stru Prod - Equity
View Factsheet
0.4%
60 / 122
-9.3%
94 / 105
-2.9%
61 / 74
10.6%
36 / 53
2.22%
Oyster Market Neutral Plus
FO Hedge/Stru Prod - Equity
View Factsheet
1.1%
36 / 122
-16%
101 / 105
-
-
-
-
2.77%
Data provided by

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