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Selecting a geography allows you to choose funds which invest in a specific geographical region, or regions if you select more than one. The geography does not necessarily reflect the domicile of the fund, where it is legally based.

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Investment Focus allows you to search for funds which invest in a specific industrial sector or sectors.

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FE Risk Score

FE Risk scores tell you how risky an investment is compared to the FTSE100. They do not show you how risky an investment is in absolute terms, but are a useful means to compare potential investments with this most widely known index.

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FE Crown Fund Rating

FE Crown Fund Rating

FE Crown Fund Ratings assign a rating to funds based on quant analysis of consistency, volatility and performance. Narrow your search by choosing to view only the highest rated funds.

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Sectors

You can narrow your search by peer groups of funds which are grouped together in sectors, based on similar investment strategies and objectives. Sectors may be defined by an industry body, like the IMA, or by FE – which has its own custom sectors.

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Performance

1 year at least   %

3 year at least   %

5 year at least   %

Yield   %  

Ratio

Volatility
 

Volatility

Volatility is a measure of risk which shows how the returns of a fund fluctuate relative to its average returns. The more returns fluctuate, the more likely you are to buy or sell during a peak or trough, so more volatile funds tend to be considered a riskier bet.

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       %
Sharpe Ratio
 

Sharpe Ratio

Sharpe Ratio is a measure which shows how much a fund has returned over and above the returns available from a risk free investment, ultimately showing you how much a fund has returned ‘per unit of risk’ taken.

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       %
Maximum Loss
 

Maximum Loss

Maximum loss shows the maximum a fund has lost between a single peak and trough, at any time during the period you’ve selected. Effectively it shows you the worst case scenario had you invested at the peak and sold at the trough during that time.

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Additional information

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For Sale In

Fund performance league table: 177 funds

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177 funds
Rank ChartFund Group Focus FE Risk Score What is FE Risk Score?Currency BidOffer1y 3y 5y  
76[+]Phoenix Century NAL Managed (40-85% shares) PnPhoenix Life Limited
70
GBX299.60299.60-0.423.432.9
77[+]Phoenix Credit Fixed Interest FAF Individual Pn F2Phoenix Life Limited
57
GBX58,294.0061,362.0013.6n/an/a
78[+]Phoenix Credit Fixed Interest FAF Managed Pn F1Phoenix Life Limited
57
GBX137,171.00137,171.0013.9n/an/a
79[+]Phoenix Ex SLUK Deposit PnPhoenix Life Limited
0
GBX371.80391.400.00.00.0
80[+]Phoenix Ex SLUK Fixed Int Pn AccPhoenix Life Limited
35
GBX643.20677.107.113.426.7
81[+]Phoenix Ex SLUK FT30 Pn AccPhoenix Life Limited
120
GBX253.60267.00-7.335.030.8
82[+]Phoenix Ex SLUK Managd Income PnPhoenix Life Limited
71
GBX1,670.301,758.200.627.937.9
83[+]Phoenix Ex SLUK Managed Cap PnPhoenix Life Limited
71
GBX1,670.301,758.200.627.937.9
84[+]Phoenix Ex SLUK Managed Pn AccPhoenix Life Limited
71
GBX875.20921.300.326.234.6
85[+]Phoenix Ex SLUK Overseas Managed Pn AccPhoenix Life Limited
81
GBX343.10361.20-2.922.818.0
86[+]Phoenix H Consistent Managed Pn BPhoenix Life Limited
69
GBX817.10860.20-1.732.049.3
87[+]Phoenix H Fram Managed Pn BPhoenix Life Limited
86
GBX738.70777.60-0.528.340.9
88[+]Phoenix H Perpetual Managed Pn Sr BPhoenix Life Limited
87
GBX1,233.101,298.000.738.445.3
89[+]Phoenix Long Dated Bond FAF Managed Pn F1Phoenix Life Limited
76
GBX20,568.0020,568.0015.2n/an/a
90[+]Phoenix North America Pn FAF F1 ManagedPhoenix Life Limited
117
GBX16,053.0016,053.0010.5n/an/a
91[+]Phoenix R Property Growth Annuity PnPhoenix Life Limited
26
GBX344.50344.500.9-9.58.0
92[+]Phoenix R Sol Aberdn Ethcl Wrld PnPhoenix Life Limited
90
GBX226.10226.10-1.124.934.2
93[+]Phoenix R Sol AXA Fram Health PnPhoenix Life Limited
109
GBX226.00226.0017.877.7115.4
94[+]Phoenix R Sol AXA Fram UK Gth PnPhoenix Life Limited
102
GBX200.00200.00-2.336.849.8
95[+]Phoenix R Sol Baillie Giff Mgd PnPhoenix Life Limited
77
GBX230.20230.20-0.531.055.3
96[+]Phoenix SCP Americas Performance Pn RetPhoenix Life Limited
112
GBX524.00551.604.542.770.0
97[+]Phoenix SCP Blue Chip Ord Pn RetPhoenix Life Limited
102
GBX482.80508.20-2.722.535.5
98[+]Phoenix SCP Building Society Ord Pn RetPhoenix Life Limited
0
GBX368.20387.600.00.00.1
99[+]Phoenix SCP Building Society Pn Ret AccPhoenix Life Limited
0
GBX729.20767.600.00.00.0
100[+]Phoenix SCP Cash Ord Pn RetPhoenix Life Limited
0
GBX491.10517.000.00.00.3
101[+]Phoenix SCP Equity Pn Inst OrdPhoenix Life Limited
108
GBX821.70864.90-3.323.632.0
102[+]Phoenix SCP European Pn Ret AccPhoenix Life Limited
122
GBX571.50601.60-6.733.319.1
103[+]Phoenix SCP Extra Income Pn Ret AccPhoenix Life Limited
69
GBX1,438.601,514.404.032.942.8
104[+]Phoenix SCP Far Eastern Pn Ret AccPhoenix Life Limited
99
GBX1,419.401,494.20-3.816.826.9
105[+]Phoenix SCP Fixed Interest Pn Inst OrdPhoenix Life Limited
40
GBX1,217.001,281.007.219.134.0
106[+]Phoenix SCP Henderson Deposit PnPhoenix Life Limited
0
GBX562.70592.400.00.01.1
107[+]Phoenix SCP Henderson European PnPhoenix Life Limited
115
GBX1,346.001,417.00-4.532.013.3
108[+]Phoenix SCP Henderson Far East PnPhoenix Life Limited
100
GBX1,045.001,100.00-3.216.825.0
109[+]Phoenix SCP Henderson Managed PnPhoenix Life Limited
75
GBX1,181.001,243.00-0.131.438.0
110[+]Phoenix SCP Henderson North American PnPhoenix Life Limited
108
GBX890.70937.604.644.767.2
111[+]Phoenix SCP Henderson UK Equity PnPhoenix Life Limited
101
GBX1,429.001,504.00-2.943.953.8
112[+]Phoenix SCP High Income Pn Ret AccPhoenix Life Limited
106
GBX2,550.002,684.301.534.640.7
113[+]Phoenix SCP Index Linked Ord Pn RetPhoenix Life Limited
63
GBX701.10738.0010.921.541.8
114[+]Phoenix SCP International Ord Pn RetPhoenix Life Limited
115
GBX725.90764.10-2.829.225.8
115[+]Phoenix SCP International Pn Ret AccPhoenix Life Limited
113
GBX676.30711.90-2.729.526.9
116[+]Phoenix SCP Managed Cash Pn Ret AccPhoenix Life Limited
0
GBX354.80373.500.00.00.1
117[+]Phoenix SCP Managed Growth Pn Ret AccPhoenix Life Limited
78
GBX263.40277.300.125.432.4
118[+]Phoenix SCP Managed Ord Pn RetPhoenix Life Limited
79
GBX859.60904.900.024.931.8
119[+]Phoenix SCP North American Pn Ret AccPhoenix Life Limited
113
GBX1,305.401,374.204.543.170.3
120[+]Phoenix SCP Pref & Fixed Interest Pn Ret AccPhoenix Life Limited
37
GBX491.40517.308.328.244.1
121[+]Phoenix SCP Property Pn Ret AccPhoenix Life Limited
23
GBX1,048.701,103.9013.418.042.9
122[+]Phoenix SCP Recovery Pn Ret AccPhoenix Life Limited
101
GBX620.10652.80-5.134.937.3
123[+]Phoenix SCP Technology Pn Ret AccPhoenix Life Limited
112
GBX1,666.001,753.708.628.466.7
124[+]Phoenix SCP UK Blue Chip Pn AccPhoenix Life Limited
102
GBX374.00393.70-2.723.436.4
125[+]Phoenix SCP UW Profits Pn S2Phoenix Life Limited
99
GBX1,075.001,131.00-2.633.238.7
126[+]Phoenix SCP With Profits Ord Pn RetPhoenix Life Limited
1
GBX595.50626.904.012.521.7
127[+]Phoenix SCP With Profits Pn Ret AccPhoenix Life Limited
1
GBX595.50626.904.012.521.7
128[+]Phoenix SCP Worldwide Performance Pn RetPhoenix Life Limited
106
GBX308.90325.10-2.528.030.0
129[+]Phoenix SCP(K) Aberdeen Fixed Interest Pn Inst AccPhoenix Life Limited
38
GBX645.20679.208.428.444.3
130[+]Phoenix SCP(K) Managed (0-35% shares) Pn Ret AccPhoenix Life Limited
29
GBX503.40529.905.924.138.6
131[+]Phoenix SCP(K) Managed (40-85% shares)Pn Ret AccPhoenix Life Limited
78
GBX2,294.202,415.000.025.532.4
132[+]Phoenix SCP(K) Managed (60-100% shares)Pn Ret AccPhoenix Life Limited
106
GBX612.50644.80-2.528.230.2
133[+]Phoenix SCP(K) UK Mid Cap Pn Ret AccPhoenix Life Limited
129
GBX2,402.802,529.30-3.052.370.3
134[+]Phoenix SM Artemis Capital PnPhoenix Life Limited
130
GBX212.00223.20-2.848.357.5
135[+]Phoenix SM Artemis High Income PnPhoenix Life Limited
29
GBX223.30235.106.247.063.1
136[+]Phoenix SM Artemis Income PnPhoenix Life Limited
94
GBX264.40278.400.238.156.1
137[+]Phoenix SM Artemis UK Smaller Companies PnPhoenix Life Limited
74
GBX288.80304.00-1.442.079.6
138[+]Phoenix SM Artemis UK Special Situations PnPhoenix Life Limited
101
GBX314.10330.70-0.741.453.4
139[+]Phoenix SM AXA Framlington Health PnPhoenix Life Limited
109
GBX279.80294.6015.973.9110.7
140[+]Phoenix SM AXA Framlington UK Growth PnPhoenix Life Limited
111
GBX215.80227.20-0.834.847.7
141[+]Phoenix SM Cash PnPhoenix Life Limited
4
GBX403.60424.900.00.00.0
142[+]Phoenix SM Corporate Bond PnPhoenix Life Limited
37
GBX166.30175.108.328.442.9
143[+]Phoenix SM Equity Tracker PnPhoenix Life Limited
102
GBX144.40152.00-2.626.940.5
144[+]Phoenix SM European PnPhoenix Life Limited
122
GBX1,175.401,237.30-6.733.119.1
145[+]Phoenix SM Far Eastern PnPhoenix Life Limited
104
GBX1,160.301,221.401.020.335.0
146[+]Phoenix SM Fidelity American PnPhoenix Life Limited
117
GBX184.80194.604.439.654.4
147[+]Phoenix SM Fidelity European PnPhoenix Life Limited
108
GBX276.30290.90-3.831.625.2
148[+]Phoenix SM Fidelity Managed PnPhoenix Life Limited
63
GBX159.80168.300.021.727.4
149[+]Phoenix SM Fidelity Special Situations PnPhoenix Life Limited
102
GBX309.80326.20-5.948.840.6
150[+]Phoenix SM Fidelity Wealthbuilder PnPhoenix Life Limited
84
GBX208.20219.20-0.831.037.6

All prices in Pence Sterling (GBX) unless otherwise specified. Price performance figures are calculated on a bid price to bid price basis and shown in Sterling with net income (dividends) reinvested. Performance figures are shown in Sterling unless otherwise specified.