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  Fund Sector Performance Ranking History - Singapore
Each week, performance of every fund sector is calculated and ranked. Fund sector with better performance has a smaller ranking number. For example, fund sector with rank number one has performed better than fund sector with rank number two. Besides assigning a performance ranking number to each fund sector, background color of the ranking number is also changed based on absolute gain. Red color is for negative gain, green is for positive gain and yellow is for very small positive/negative gain or zero gain. If you want to know how to use fund sector performance ranking history, read this blog post.

Note : Fund sector performance ranking history is updated together with fund screening. If you want to be informed of the latest update, subsribed to one of these feeds.
Mar 10Feb 10Jan 10 
Week14728211473124 
Middle East & Africa1 67 46 12 34 2 1 3  
Indonesia2 35 49 16 13 59 2 21  
Internet theme3 14 57 13 25 11 43 19  
Brazil4 23 35 18 15 63 27 61  
Italy5 1 65 4 49 67 41 60  
Germany6 12 54 2 48 65 10 59  
Europe Exc. UK7 6 51 34 57 7 65 55  
Vietnam8 26 67 36 33 1 29 35  
South East Asia9 39 7 51 23 52 59 49  
Hong Kong & Singapore10 66 6 67 4 9 53 52  
Latin America11 32 55 7 12 19 33 43  
IPO12 25 31 54 10 16 62 54  
Malaysia & Singapore13 51 22 57 19 23 58 31  
Property-asia14 56 1 66 5 5 63 40  
Singapore15 47 17 61 21 29 37 46  
Small to Medium Companies16 22 33 48 26 28 42 37  
France17 10 48 1 51 66 23 57  
Thailand18 28 2 14 41 18 36 58  
US Centric19 33 36 8 44 54 25 27  
Telecommunications20 29 41 46 39 60 35 26  
Finance21 7 45 3 28 64 22 51  
Iberia22 2 66 5 31 68 48 64  
Technology23 37 47 15 29 32 38 25  
Property-global24 21 11 44 38 58 32 34  
Infrastructure25 27 43 62 14 12 64 39  
Malaysia26 38 9 43 32 50 57 17  
BRIC27 31 34 49 18 33 28 45  
Philippines28 68 8 65 3 3 26 2  
Australia29 16 59 10 27 49 66 65  
Asia excluding Japan30 34 37 53 16 27 54 44  
Asia including Japan31 43 30 59 20 14 47 33  
Europe including UK32 15 52 17 40 61 31 50  
High Yield33 45 12 22 67 47 19 16  
Global34 30 40 21 36 46 30 30  
Emerging Markets35 19 44 27 22 45 34 36  
China36 55 15 64 8 20 52 47  
Property37 20 5 50 30 22 39 42  
Europe Fixed Income38 48 14 24 62 53 6 7  
China & India39 18 3 68 17 24 60 53  
Industrials40 8 56 20 47 55 55 63  
Climate Change41 17 64 30 46 36 56 41  
US Fixed Income42 50 20 19 63 25 4 4  
Japan43 64 10 63 66 10 49 6  
Global Fixed Income44 52 16 28 61 31 18 18  
Taiwan45 36 58 11 6 62 45 66  
Eastern Europe46 9 63 52 37 57 5 23  
Greater China47 46 19 58 7 15 51 48  
Asia Fixed Income48 65 13 29 65 26 3 1  
Singapore Fixed Income49 54 21 40 60 30 15 8  
Utilities50 57 27 37 56 38 8 11  
APEC51 58 26 33 58 39 9 14  
Energy52 59 24 35 52 44 14 13  
Biotechnology53 60 23 31 55 42 12 12  
Materials54 61 28 39 59 41 11 10  
Russia55 62 25 38 53 37 7 9  
Global Luxury56 63 29 32 54 43 13 15  
Currency57 49 39 45 43 40 17 24  
India58 13 4 60 24 48 44 62  
Emerging Markets Fixed Income59 53 18 26 45 21 16 5  
Healthcare60 40 32 9 42 56 21 22  
Korea61 24 61 56 11 51 61 29  
Resources62 5 68 41 2 35 68 67  
Global Agriculture63 41 42 25 50 34 50 20  
Islamic theme64 44 38 47 35 13 24 28  
Commodities65 42 60 23 9 4 46 38  
Property-europe66 3 50 55 68 8 40 56  
Europe (Euro-Zone)- NA67 4 53 6 64 6 20 32  
Gold & Minerals68 11 62 42 1 17 67 68  
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