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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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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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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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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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  £

Period

Additional information

Fund size   £

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Fund performance league table: 4053 funds

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4053 funds
Rank ChartFund Group FE Risk Score What is FE Risk Score?FE Crown Rating What is FE Crown Rating?3y  
2551[+]Henderson Gartmore Emerging Markets R Acc USDHenderson Management SA
102
4.8
2552[+]Henderson Gartmore Continental European B Acc EURHenderson Management SA
n/a
89.7
2553[+]Hector SICAV Eagle Global Equities A CapBanque DeGroof (LUX)
n/a
SHn/a
2554[+]Hector SICAV Eagle Emerging Markets Equity A CapBanque DeGroof (LUX)
n/a
SHn/a
2555[+]Harmony Portfolio US Dollar Growth AMomentum Global Funds SICAV
66
28.9
2556[+]Harmony Portfolio US Dollar Balanced AMomentum Global Funds SICAV
56
19.4
2557[+]Harmony Portfolio Sterling Growth AMomentum Global Funds SICAV
57
38.5
2558[+]Harmony Portfolio Sterling Balanced AMomentum Global Funds SICAV
43
26.9
2559[+]Harmony Portfolio Euro Balanced AMomentum Global Funds SICAV
50
37.3
2560[+]Harmony Portfolio Asian Growth AMomentum Global Funds SICAV
59
19.4
2561[+]Harmony Portfolio Asian Balanced AMomentum Global Funds SICAV
53
10.8
2562[+]Hamon Asian Market Leaders USDHamon Asset Management
138
19.8
2563[+]H2O MultiStrategies RNatixis Global Asset Mgmt S.A.
143
165.7
2564[+]H2O Moderato RNatixis Global Asset Mgmt S.A.
54
41.1
2565[+]H.A.M. Global Convertible Bond EURIndependent Fund Management
56
31.6
2566[+]GVO UK Focus A IncGVO Investment Management
96
84.3
2567[+]Gustavia Ny TeknikGustavia Fonder AB
98
87.9
2568[+]Guinness Global Money Managers A USDGuinness Asset Management Ltd
109
93.8
2569[+]Guinness Global Innovators C Acc USDGuinness Asset Management Ltd
n/a
SHn/a
2570[+]Guinness Global Equity Income A USDGuinness Asset Management Ltd
81
44.6
2571[+]Guinness Global Energy A USDGuinness Asset Management Ltd
172
8.0
2572[+]Guinness European Equity Income X Acc USDGuinness Asset Management Ltd
n/a
SHn/a
2573[+]Guinness China & Hong Kong A USDGuinness Asset Management Ltd
122
26.7
2574[+]Guinness Asian Equity Income X Acc USDGuinness Asset Management Ltd
n/a
SHn/a
2575[+]Guinness Alternative Energy A USDGuinness Asset Management Ltd
148
49.4
2576[+]Guardian Permanent IncomeGuardian Managers (UK) Limited
50
10.5
2577[+]GS Yen Liquid Reserves Institutional AccGoldman Sachs
66
0.0
2578[+]GS Wealthbuilder Multi-Asset Growth Portfolio Base AccGoldman Sachs
n/a
SHn/a
2579[+]GS Wealthbuilder Multi Asset Conservative Portfolio Base AccGoldman Sachs
n/a
SHn/a
2580[+]GS Wealthbuilder Multi Asset Balanced Portfolio Base AccGoldman Sachs
n/a
SHn/a
2581[+]GS US$ Treasury Liquid Reserves Administration AccGoldman Sachs
47
0.0
2582[+]GS US$ Liquid Reserves AdministrationGoldman Sachs
47
0.0
2583[+]GS US Small Cap CORE Equity Portfolio Base Close AccGoldman Sachs
102
58.4
2584[+]GS US Real Estate Balanced Portfolio Base AccGoldman Sachs
66
SHn/a
2585[+]GS US Mortgage Backed Securities Portfolio Base AccGoldman Sachs
15
SS7.9
2586[+]GS US Focused Growth Equity Portfolio BaseGoldman Sachs
94
47.8
2587[+]GS US Fixed Income Portfolio AGoldman Sachs
49
7.5
2588[+]GS US Equity Portfolio Base AccGoldman Sachs
90
55.9
2589[+]GS US Core Equity Portfolio Base SnapGoldman Sachs
89
61.0
2590[+]GS Tactical Tilt Portfolio IO AccGoldman Sachs
45
31.6
2591[+]GS Strategic Global Equity Portfolio AGoldman Sachs
81
42.8
2592[+]GS Strategic Absolute Return Bond II Portfolio Base AccGoldman Sachs
34
5.6
2593[+]GS Strategic Absolute Return Bond I Portfolio Base AccGoldman Sachs
15
4.2
2594[+]GS Sterling Liquid Reserves AdministrationGoldman Sachs
0
0.5
2595[+]GS Sterling Government Liquid Reserves Institutional AccGoldman Sachs
0
0.7
2596[+]GS Sterling Credit Portfolio BaseGoldman Sachs
33
29.1
2597[+]GS Sterling Broad Fixed Income Portfolio BaseGoldman Sachs
40
17.8
2598[+]GS Sterling Broad Fixed Income Plus Portfolio Base AccGoldman Sachs
39
22.2
2599[+]GS Quartix Modified Strategy on the Bloomberg Commodity Index Total Return Pfl A Acc USDGoldman Sachs
69
-25.9
2600[+]GS North American Shale Revolution & Energy Infrastructure Portfolio Base AccGoldman Sachs
n/a
SHn/a
2601[+]GS N-11 Equity Portfolio Base AccGoldman Sachs
95
7.4
2602[+]GS Multi-Asset Dynamic Strategy Portfolio A Acc GBP HedgedGoldman Sachs
56
SHn/a
2603[+]GS Liberty Harbor Opportunistic Corporate Bond Portfolio Base AccGoldman Sachs
26
SH11.2
2604[+]GS Japan Portfolio BaseGoldman Sachs
107
106.5
2605[+]GS India Equity Portfolio Base AccGoldman Sachs
142
67.5
2606[+]GS Growth Markets Plus Equity Portfolio Base AccGoldman Sachs
109
SHn/a
2607[+]GS Growth & Emerging Markets Debt Portfolio Base AccGoldman Sachs
42
15.9
2608[+]GS Growth & Emerging Markets Debt Local Portfolio Base M DistGoldman Sachs
74
-13.1
2609[+]GS Growth & Emerging Markets Debt Blend Portfolio Base AccGoldman Sachs
50
SHn/a
2610[+]GS Growth & Emerging Markets Corporate Bond Portfolio Base AccGoldman Sachs
28
SS18.2
2611[+]GS Growth & Emerging Markets CORE Equity Portfolio Base Close AccGoldman Sachs
106
15.3
2612[+]GS Growth & Emerging Markets Broad Equity Portfolio Base AccGoldman Sachs
103
12.7
2613[+]GS GMS US Equity Portfolio P AccGoldman Sachs
90
66.8
2614[+]GS GMS Japan Equity Portfolio P AccGoldman Sachs
109
96.1
2615[+]GS GMS Global Equity Portfolio P AccGoldman Sachs
79
37.5
2616[+]GS GMS Europe Equity Portfolio P AccGoldman Sachs
92
67.0
2617[+]GS GMS Emerging Markets Equity Portfolio P AccGoldman Sachs
108
SH7.8
2618[+]GS GMS Dynamic World Equity Portfolio BaseGoldman Sachs
80
55.2
2619[+]GS Global Strategic Macro Bond Portfolio Base AccGoldman Sachs
n/a
SHn/a
2620[+]GS Global Strategic Income Bond Portfolio Base AccGoldman Sachs
24
12.5
2621[+]GS Global Small Cap Core Equity Portfolio P Snap AccGoldman Sachs
86
60.1
2622[+]GS Global Responsible Equity Portfolio A Snap AccGoldman Sachs
82
33.9
2623[+]GS Global Income Builder Portfolio Base AccGoldman Sachs
n/a
SHn/a
2624[+]GS Global High Yield Portfolio Base AccGoldman Sachs
34
22.1
2625[+]GS Global Fixed Income Portfolio AGoldman Sachs
35
-2.5

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 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