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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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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 IA, or by FE – which has its own custom sectors.

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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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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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Fund performance league table: 4052 funds

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4052 funds
Rank ChartFund Group FE Risk Score What is FE Risk Score?FE Crown Rating What is FE Crown Rating?3y  
1[+]Zadig Memnon European R EURZadig gestion Luxembourg S.A
94
104.2
2[+]WSP Global Strategy Risk 10% Portfolio D5 USDWorld Inv Opportunities Funds
71
-4.2
3[+]Worldwide Inv Opportunistic Equity A USDWorldwide Investors Portfolio
105
59.9
4[+]Worldwide Inv Emerging Markets Fixed Income A USDWorldwide Investors Portfolio
71
19.9
5[+]Winton Global Equity Z USDWinton Capital Management Ltd
87
67.8
6[+]Willer Equity Trade Winds PWiller
89
56.5
7[+]Willer Equity Russia & Eastern EuroWiller
119
9.3
8[+]Willer Equity North AmericaWiller
94
52.0
9[+]Willer Equity LatinAmericaWiller
140
-12.1
10[+]Willer Equity JapanWiller
113
119.9
11[+]Willer Equity Italy PWiller
118
84.9
12[+]Willer Equity EuropeWiller
89
55.6
13[+]Willer Equity Asia Ex-Japan PWiller
96
34.7
14[+]Willer Bond European CurrenciesWiller
46
6.4
15[+]Willer Bond CapitalWiller
56
-2.2
16[+]Western Asset US Dollar Liquidity DWestern Asset Liquidity Fd plc
55
0.2
17[+]Western Asset GBP Liquidity DWestern Asset Liquidity Fd plc
0
0.9
18[+]Western Asset Euro Liquidity DWestern Asset Liquidity Fd plc
56
0.1
19[+]Wells Fargo Worldwide US Short Term High Yield Bond A USDWells Fargo
14
SHn/a
20[+]Wells Fargo Worldwide US Select Equity A USDWells Fargo
n/a
SHn/a
21[+]Wells Fargo Worldwide US Premier Growth A USDWells Fargo
110
SHn/a
22[+]Wells Fargo Worldwide US Large Cap Growth A USDWells Fargo
112
62.3
23[+]Wells Fargo Worldwide US High Yield Bond A USDWells Fargo
60
19.5
24[+]Wells Fargo Worldwide US Dollar Short Term Money Market A USDWells Fargo
58
0.0
25[+]Wells Fargo Worldwide US All Cap Growth A USDWells Fargo
117
53.7
26[+]Wells Fargo Worldwide Precious Metals A USDWells Fargo
237
SHn/a
27[+]Wells Fargo Worldwide Global Opportunity Bond A USDWells Fargo
28
SHn/a
28[+]Wells Fargo Worldwide Global Equity A USDWells Fargo
90
48.1
29[+]Wells Fargo Worldwide Emerging Markets Equity Income A USDWells Fargo
94
SHn/a
30[+]Wells Fargo Worldwide Emerging Markets Equity II A USDWells Fargo
109
SHn/a
31[+]Wells Fargo Worldwide Emerging Markets Equity A USDWells Fargo
107
11.3
32[+]Wells Fargo Worldwide China Equity A USDWells Fargo
139
82.4
33[+]Waverton UK B GBPWaverton Investment Management
97
54.6
34[+]Waverton Sterling Bond B GBPWaverton Investment Management
18
14.0
35[+]Waverton Global Equity Select A USDWaverton Investment Management
94
44.1
36[+]Waverton Global Equity A GBPWaverton Investment Management
89
48.5
37[+]Waverton European A EURWaverton Investment Management
109
150.5
38[+]Waverton Equity B GBPWaverton Investment Management
83
57.2
39[+]Waverton Asia Pacific A USDWaverton Investment Management
95
35.2
40[+]Waverley 5 year Balanced Growth Non Redeemable AWaverley Investments PCC Ltd
n/a
SHn/a
41[+]Waverley 3 year Balanced Growth Non Redeemable AWaverley Investments PCC Ltd
n/a
SHn/a
42[+]Waverley 15 year Balanced Growth Non Redeemable AWaverley Investments PCC Ltd
n/a
SHn/a
43[+]Waverley 10 year Balanced Growth Non Redeemable AWaverley Investments PCC Ltd
n/a
SHn/a
44[+]Vontobel Fund US Equity BVontobel Asset Management S.A.
90
57.8
45[+]Vontobel Fund Target Return Growth B EURVontobel Asset Management S.A.
n/a
SHn/a
46[+]Vontobel Fund Target Return Balanced B EURVontobel Asset Management S.A.
n/a
SHn/a
47[+]Vontobel Fund Sustainable Global Leaders B USDVontobel Asset Management S.A.
96
69.0
48[+]Vontobel Fund Sustainable Asian Leaders (Ex Japan) BVontobel Asset Management S.A.
128
72.2
49[+]Vontobel Fund Pure Premium Strategy B USDVontobel Asset Management S.A.
n/a
SHn/a
50[+]Vontobel Fund Pure Momentum Strategy BVontobel Asset Management S.A.
85
SHn/a
51[+]Vontobel Fund Pure Dividend Strategy BVontobel Asset Management S.A.
64
SHn/a
52[+]Vontobel Fund New Power BVontobel Asset Management S.A.
124
62.1
53[+]Vontobel Fund Japanese Equity BVontobel Asset Management S.A.
118
132.8
54[+]Vontobel Fund High Yield Bond B EURVontobel Asset Management S.A.
51
SHn/a
55[+]Vontobel Fund Global Equity BVontobel Asset Management S.A.
88
44.1
56[+]Vontobel Fund Global Equity (Ex-US) BVontobel Asset Management S.A.
86
31.0
57[+]Vontobel Fund Global Convertible Bond BVontobel Asset Management S.A.
56
31.0
58[+]Vontobel Fund Future Resources BVontobel Asset Management S.A.
103
36.3
59[+]Vontobel Fund Far East Equity BVontobel Asset Management S.A.
100
34.8
60[+]Vontobel Fund European Mid and Small Cap Equity BVontobel Asset Management S.A.
89
85.5
61[+]Vontobel Fund European Equity BVontobel Asset Management S.A.
80
58.1
62[+]Vontobel Fund Euro Bond BVontobel Asset Management S.A.
50
23.8
63[+]Vontobel Fund Emerging Markets Local Currency Bond B USDVontobel Asset Management S.A.
71
-11.7
64[+]Vontobel Fund Emerging Markets Equity BVontobel Asset Management S.A.
n/a
15.4
65[+]Vontobel Fund Emerging Markets Debt BVontobel Asset Management S.A.
65
SHn/a
66[+]Vontobel Fund Eastern European Bond BVontobel Asset Management S.A.
77
8.4
67[+]Vontobel Fund Clean Technology BVontobel Asset Management S.A.
95
89.5
68[+]Vontobel Fund Belvista Dynamic Commodity BVontobel Asset Management S.A.
61
SH-24.9
69[+]Vontobel Fund Belvista Commodity BVontobel Asset Management S.A.
61
-29.8
70[+]Vontobel Fund Absolute Return Bond (EUR) BVontobel Asset Management S.A.
48
4.3
71[+]Veritas Global Real Return B GBPVeritas Asset Mgmt (UK) Ltd
57
US29.5
72[+]Veritas Global Focus A USDVeritas Asset Mgmt (UK) Ltd
81
52.6
73[+]Veritas Global Equity Income A GBPVeritas Asset Mgmt (UK) Ltd
80
32.9
74[+]Veritas China A USDVeritas Asset Mgmt (UK) Ltd
121
67.3
75[+]Veritas Asian A USDVeritas Asset Mgmt (UK) Ltd
104
67.8

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 fund’s native currency unless otherwise specified – performance figures can be rebased to Pence Sterling (GBX) using the rebasing option.

Key to codes

LC : Low correlation to benchmarks
SH : Fund with a short history
US : Fund in an unrated sector
PT : Passive fund