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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 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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Fund performance league table: 103 funds

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103 funds
Rank ChartFund Group Focus FE Risk Score What is FE Risk Score?Currency BidOfferYield 1y 3y 5y  
   HEDGE/STRU PROD - MIXED PERFORMANCE       1.37.08.5 
1[+]80% Protected Dynamic Allocation A USDRed Arc Global Investments (Ireland) plc
61
USD94.81n/a4.210.4n/a
2[+]Absolute B GBPAbsolute Fund Management
17
GBP165.990.00-1.211.414.8
3[+]AC Risk Parity 7 EUR Ret BAlceda Fund Management
57
EUR113.68n/a-12.5-14.8-11.6
4[+]Amundi Absolute Volatility Arbitrage Plus AE Cap EURAmundi
52
EUR97.14n/a-12.0-11.8n/a
5[+]Aria Absolute Income Protected A GBPAria Structured Investments
62
GBP8.610.00-10.6-16.5-18.7
6[+]Aria Absolute Income Protected UCITs GBPAria Structured Investments
100
GBP6.600.001.7-24.7-33.3
7[+]Aria Enhanced Income AccAria Structured Investments
94
GBP4.970.00-30.0-39.2-47.5
8[+]Aria GEMs ProtectedAria Structured Investments
54
GBP6.660.00-17.4-17.0-18.4
9[+]Atlas Capital First Composite USDAtlas Capital
85
USD446.43446.440.005.8-21.7-33.6
10[+]Barclays Wealth Weekly Hedge B Acc GBPBarclays
22
GBP10.87n/a1.68.4n/a
11[+]BB Global Macro HB EURBellevue Asset Management
52
EUR156.30n/a-1.115.49.8
12[+]Belmont Global Trend ABelmont Investments
113
USD105.520.0024.4-3.2-0.8
13[+]Blackpoint Nemrod Diversified Holdings BBlackpoint Mgmt Ltd (GSY)
66
USD4,243.810.0015.822.628.2
14[+]BNP Paribas Plan Target Click 2015 Classic CapBNP Paribas Invest Partners Lux
55
EUR64.570.00-7.4-6.0-5.6
15[+]BNP Paribas Plan Target Click 2016 Classic CapBNP Paribas Invest Partners Lux
54
EUR66.320.00-7.2-4.4-3.7
16[+]BNP Paribas Plan Target Click 2017 Classic CapBNP Paribas Invest Partners Lux
54
EUR65.130.00-7.2-5.5-4.1
17[+]BNP Paribas Plan Target Click 2018 Classic CapBNP Paribas Invest Partners Lux
55
EUR65.290.00-7.1-5.6-4.0
18[+]BNP Paribas Plan Target Click 2019 Classic CapBNP Paribas Invest Partners Lux
55
EUR66.660.00-6.6-3.6-1.5
19[+]BNP Paribas Plan Target Click 2020 Classic CapBNP Paribas Invest Partners Lux
56
EUR66.970.00-6.3-2.2-0.2
20[+]BNP Paribas Plan Target Click 2021 Classic CapBNP Paribas Invest Partners Lux
56
EUR67.010.00-5.8-1.20.6
21[+]BNP Paribas Plan Target Click 2022 Classic CapBNP Paribas Invest Partners Lux
57
EUR69.260.00-5.52.15.1
22[+]BNP Paribas Plan Target Click 2023 Classic CapBNP Paribas Invest Partners Lux
57
EUR68.880.00-4.83.96.7
23[+]BNP Paribas Plan Target Click 2024 Classic CapBNP Paribas Invest Partners Lux
58
EUR66.220.00-4.64.86.1
24[+]BNP Paribas Plan Target Click 2025 Classic CapBNP Paribas Invest Partners Lux
59
EUR69.200.00-4.56.510.1
25[+]BNP Paribas Plan Target Click 2030 Classic CapBNP Paribas Invest Partners Lux
64
EUR70.480.001.417.418.5
26[+]BNP Paribas Plan Target Click 2035 Classic CapBNP Paribas Invest Partners Lux
71
EUR79.080.006.226.637.9
27[+]BNP Paribas Plan Target Click 2040 Classic CapBNP Paribas Invest Partners Lux
76
EUR98.660.0010.131.131.6
28[+]BNP Paribas Plan Target Click 2042 Classic CapBNP Paribas Invest Partners Lux
78
EUR100.640.0010.232.231.4
29[+]CBK Skandia Shield ACommerz Funds Solutions S.A.
42
GBP1.02n/a-7.1-0.3n/a
30[+]CS Investment 4 CS (Lux) CS AllHedge Index B USDCredit Suisse Fund Management S.A.
84
USD88.84n/a4.87.81.5
31[+]CS Investment 4 CS (Lux) Prima Multi Strategy B EURCredit Suisse Fund Management S.A.
63
EUR108.39n/a-6.60.1-3.2
32[+]ESA Global Futures C USDEuropean SICAV Alliance
104
USD1,642.520.0010.711.114.8
33[+]Exigo B GBPBelvedere Management Ltd
17
GBP1.090.002.89.1n/a
34[+]F&C Warrior F USDF&C CYM (BMO Global Asset Management)
63
USD1,077.640.0013.68.613.8
35[+]F&C Warrior II H GBPF&C CYM (BMO Global Asset Management)
63
GBP993.070.002.65.09.8
36[+]Franklin K2 Alternative Strategies A Acc USDFranklin Temp Intnl Serv SARL
n/a
USD10.460.00n/an/an/a
37[+]GAM Bas Gain Trading II Protection 903GAM Fund Management Ltd
73
AUD123.00n/a-12.3-25.6n/a
38[+]GAM Composite Absolute Return Open USDGAM Fund Management Ltd
66
USD982.42n/a-0.312.014.9
39[+]GAM Diversity II Open USDGAM Fund Management Ltd
70
USD236.75n/a8.818.419.0
40[+]GAM Diversity III Non-Voting USDGAM Fund Management Ltd
70
USD135.62n/a8.117.017.4
41[+]GAM Diversity Open USDGAM Fund Management Ltd
70
USD759.93n/a5.414.915.8
42[+]GAM Star Flexible Global Portfolio Acc USDGAM Fund Management Ltd
70
USD12.730.007.822.526.1
43[+]GAM Star Keynes Quantitative Strategies A USDGAM Fund Management Ltd
93
USD11.35n/a22.918.0n/a
44[+]GAM Strategic Diversity B USDGAM Fund Management Ltd
73
USD311.48n/a8.114.011.1
45[+]GAM Strategic Diversity II A USDGAM Fund Management Ltd
73
USD146.61n/a9.016.916.0
46[+]Garraway Financial Trends B USDGarraway Capital Management LLP
127
USD1,144.82n/a27.5n/an/a
47[+]GLG Market Neutral A USDGLG Partners LP
54
USD508.170.00-0.914.839.4
48[+]GS Absolute Return Tracker Portfolio Base AccGoldman Sachs
42
USD9.26n/a5.511.39.9
49[+]GS Dynamic Alternative Strategies Portfolio Base Weekly AccGoldman Sachs
41
EUR105.15n/a-6.7-0.4-2.6
50[+]Hermes Multi Asset Inflation F Acc GBPHermes Investment Management
n/a
GBP0.99n/an/an/an/a
51[+]Invesco Capital Global Conservative A Acc EURInvesco Management S.A.
49
EUR11.90n/a-9.1-4.6-0.6
52[+]Invesco Global Absolute Return A EURInvesco Management S.A.
53
EUR11.23n/a-8.8-4.06.2
53[+]JPM Systematic Alpha A Acc EURJPMorgan Asset Mgmt (Europe) S.a r.l.
23
EUR11.3812.010.00-9.4-0.82.7
54[+]La Fayette Europe SP B USDLa Fayette
137
USD25.060.000.0-28.3-34.1
55[+]La Fayette Holdings SP A USDLa Fayette
59
USD177.350.000.0-14.912.6
56[+]La Fayette Opportunity USDLa Fayette
81
USD237.99n/a17.330.523.7
57[+]La Fayette Regular Growth SP B USDLa Fayette
68
USD59.300.004.7-11.1-20.4
58[+]LGBR Ascension Closed End InstitutionalLGBR Capital LLP
94
GBP14.030.0015.618.037.9
59[+]LGBR Ascension Ret GBPLGBR Capital LLP
56
GBP1.210.006.915.024.3
60[+]LGBR Event driven Continuation Inst GBPLGBR Capital LLP
17
GBP1.140.00-1.54.71.9
61[+]LGT Capital a generix Global Macro UCITS I USDLGT Capital Partners (Irl) Ltd
102
USD1,030.58n/a4.02.5n/a
62[+]LGT Capital Crown Managed Futures UCITS B USDLGT Capital Partners Limited
147
USD1,130.500.0021.84.011.5
63[+]LO Funds - Alternative Beta (USD) M ALombard Odier
59
USD118.89n/a5.57.34.5
64[+]LO Funds - Tactical Alpha (EUR) M ALombard Odier
26
EUR10.52n/a-7.1-4.3-7.5
65[+]LO Selection - Vantage 1500 (EUR) M ALombard Odier
18
EUR10.21n/a-9.6n/an/a
66[+]LO Selection - Vantage 3000 (EUR) M ALombard Odier
33
EUR10.33n/a-11.6n/an/a
67[+]Low Volatility A EURNotz Stucki Europe SA
65
EUR103.03n/a-5.6n/an/a
68[+]Lyxor Alias Investment Hedge Index I USDLyxor Asset Mgt
66
USD101.580.485.27.41.2
69[+]Lyxor WNT A USDLyxor Asset Management
83
USD96.24n/an/an/an/a
70[+]Man GLG Global Opportunity A USDGLG Partners LP
65
USD179.130.006.74.5-4.4
71[+]Man IP 220 S5 USDMan Investments
77
USD1.015.6212.2-3.59.4
72[+]Man MGS Access Bonds EURMan Investments
41
EUR1.027.21-8.9-4.23.7
73[+]Melampus Managed SterlingMelampus PCC
62
GBP0.260.000.0-42.0-68.7
74[+]ML IS York Event Driven Ucits F EURMerrill Lynch International
90
EUR120.56n/a-15.218.1n/a
75[+]ML Och Ziff European Multi-Strategy Ucits C Acc GBPMerrill Lynch International
48
GBP112.99n/a6.318.7n/a
   HEDGE/STRU PROD - MIXED PERFORMANCE       1.37.08.5 

Price total return performance figures are calculated on a bid price to bid price basis (mid to mid where applicable) with gross income (dividends) reinvested. Performance figures are shown in Pence Sterling (GBX).

Data provided by FE. Care has been taken to ensure that the information is correct, but FE neither warrants, represents nor guarantees the contents of information, nor does it accept any responsibility for errors, inaccuracies, omissions or any inconsistencies herein. Past performance does not predict future performance, it should not be the main or sole reason for making an investment decision. The value of investments and any income from them can fall as well as rise.