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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 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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  £

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Additional information

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Fund performance league table: 4034 funds

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4034 funds
Rank ChartFund Group FE Risk Score What is FE Risk Score?FE Crown Rating What is FE Crown Rating?3y  
1501[+]Morg Stnly Global Premier Credit A USDMorgan Stanley InvestmentFunds
43
SHn/a
1502[+]Morg Stnly Global Opportunity A USDMorgan Stanley InvestmentFunds
99
55.3
1503[+]Morg Stnly Global Mortgage Securities A USDMorgan Stanley InvestmentFunds
48
SHn/a
1504[+]Morg Stnly Global Infrastructure A USDMorgan Stanley InvestmentFunds
82
50.0
1505[+]Morg Stnly Global High Yield Bond A USDMorgan Stanley InvestmentFunds
48
SS26.0
1506[+]Morg Stnly Global Fixed Income Opportunities A USDMorgan Stanley InvestmentFunds
n/a
19.6
1507[+]Morg Stnly Global Credit A USDMorgan Stanley InvestmentFunds
37
SHn/a
1508[+]Morg Stnly Global Convertible Bond A USDMorgan Stanley InvestmentFunds
60
22.6
1509[+]Morg Stnly Global Brands A USDMorgan Stanley InvestmentFunds
81
34.3
1510[+]Morg Stnly Global Bond I USDMorgan Stanley InvestmentFunds
40
5.0
1511[+]Morg Stnly Global Balanced Risk Control A EURMorgan Stanley InvestmentFunds
53
30.1
1512[+]Morg Stnly Global Advantage A USDMorgan Stanley InvestmentFunds
86
SHn/a
1513[+]Morg Stnly Eurozone Equity Alpha A EURMorgan Stanley InvestmentFunds
116
63.8
1514[+]Morg Stnly European Property I EURMorgan Stanley InvestmentFunds
92
93.7
1515[+]Morg Stnly European Equity Alpha A EURMorgan Stanley InvestmentFunds
97
51.2
1516[+]Morg Stnly European Currencies High Yield Bond I EURMorgan Stanley InvestmentFunds
51
36.9
1517[+]Morg Stnly Euro Strategic Bond I EURMorgan Stanley InvestmentFunds
45
27.4
1518[+]Morg Stnly Euro Corporate Bond A EURMorgan Stanley InvestmentFunds
47
27.3
1519[+]Morg Stnly Euro Corporate Bond (ex Financials) A EURMorgan Stanley InvestmentFunds
45
SHn/a
1520[+]Morg Stnly Euro Bond I EURMorgan Stanley InvestmentFunds
46
24.3
1521[+]Morg Stnly Emerging Markets Equity A USDMorgan Stanley InvestmentFunds
96
2.9
1522[+]Morg Stnly Emerging Markets Debt A USDMorgan Stanley InvestmentFunds
63
4.1
1523[+]Morg Stnly Emerging Markets Corporate Debt A USDMorgan Stanley InvestmentFunds
51
15.8
1524[+]Morg Stnly Emerging Market Domestic Debt A USDMorgan Stanley InvestmentFunds
73
-17.0
1525[+]Morg Stnly Emerging Leaders Equity A USDMorgan Stanley InvestmentFunds
85
SHn/a
1526[+]Morg Stnly Emerging Europe Middle East and Africa Equity I EURMorgan Stanley InvestmentFunds
112
23.0
1527[+]Morg Stnly Diversified Alpha Plus A EURMorgan Stanley InvestmentFunds
65
20.4
1528[+]Morg Stnly Asia-Pacific Equity B USDMorgan Stanley InvestmentFunds
86
12.3
1529[+]Morg Stnly Asian Property I USDMorgan Stanley InvestmentFunds
117
SS27.7
1530[+]Morg Stnly Asian Equity I USDMorgan Stanley InvestmentFunds
92
14.3
1531[+]MontLake DUNN WMA Institutional UCITS Ret EURML Capital Asset Mgt Ltd
149
SH45.6
1532[+]Montanaro European Smaller Companies Unhedged EURMontanaro Eurpn Smaller Co Plc
89
53.1
1533[+]Montanaro European MidCapMontanaro Eurpn Smaller Co Plc
94
SHn/a
1534[+]Montanaro Equity Income GBPMontanaro Eurpn Smaller Co Plc
88
53.2
1535[+]Momentum IF Global Franchise IMomentum Global Investment Mgt
78
SHn/a
1536[+]Momentum IF Global Contrarian IMomentum Global Investment Mgt
83
SHn/a
1537[+]Momentum Discipline & Diversified Balanced A Hedged USDMomentum Mutual Fund ICC Ltd
64
17.6
1538[+]ML Westchester Merger Arbitrage UCITS C Acc USDMerrill Lynch International
62
US6.1
1539[+]ML Van Eck Commodities Long Short Equity Ucits C Acc USDMerrill Lynch International
59
SHn/a
1540[+]ML Stepped Income ELDeRS 13AMerrill Lynch
24
36.9
1541[+]ML Stepped Growth III ELDeRS 13BMerrill Lynch
23
SS27.3
1542[+]ML Och Ziff European Multi-Strategy Ucits C Acc GBPMerrill Lynch International
53
US16.0
1543[+]ML Japan Capital Protected II ELDeRS 13CMerrill Lynch
77
US65.6
1544[+]ML IS York Event Driven Ucits F EURMerrill Lynch International
96
US31.5
1545[+]ML IS Theorema European Equity Long Short Ucits C EURMerrill Lynch International
57
US7.6
1546[+]ML IS Columbus Circle Investors Healthcare Long-Short Ucits C Ret Acc USDMerrill Lynch International
89
42.3
1547[+]ML Capital Catalyst Global Real Estate UCITS AML Capital Asset Mgt Ltd
89
40.0
1548[+]ML Capital Accumulation VI ELDeRS 28AMerrill Lynch
17
US25.1
1549[+]Mirae Asset India Sector Leader Equity A Non DistributingMirae Asset Global Investments
145
46.8
1550[+]Mirae Asset GEM Sector Leader Equity A USDMirae Asset Global Investments
100
9.7
1551[+]Mirae Asset GEM Great Consumer Equity AMirae Asset Global Investments
107
SHn/a
1552[+]Mirae Asset Asia Sector Leader Equity AMirae Asset Global Investments
95
SHn/a
1553[+]Mirae Asset Asia Great Consumer Equity A Non Distributing USDMirae Asset Global Investments
108
50.7
1554[+]Mirabaud Serenite A EURMirabaud Asset Management (Europe) SA
40
SHn/a
1555[+]Mirabaud Global High Yield Bond A cap USDMirabaud Asset Management (Europe) SA
50
SHn/a
1556[+]Mirabaud Global Equity High Income A Cap USDMirabaud Asset Management (Europe) SA
n/a
SHn/a
1557[+]Mirabaud Equities US A USDMirabaud Asset Management (Europe) SA
95
40.0
1558[+]Mirabaud Equities UK A Cap GBPMirabaud Asset Management (Europe) SA
95
27.2
1559[+]Mirabaud Equities Swiss Small and Mid A Cap CHFMirabaud Asset Management (Europe) SA
95
53.8
1560[+]Mirabaud Equities Spain A EURMirabaud Asset Management (Europe) SA
133
50.5
1561[+]Mirabaud Equities Global Emerging Markets A USDMirabaud Asset Management (Europe) SA
109
SHn/a
1562[+]Mirabaud Equities Global A USDMirabaud Asset Management (Europe) SA
87
31.0
1563[+]Mirabaud Equities France A EURMirabaud Asset Management (Europe) SA
111
SHn/a
1564[+]Mirabaud Equities Eurozone A EURMirabaud Asset Management (Europe) SA
122
SHn/a
1565[+]Mirabaud Dynamic Allocation A EURMirabaud Asset Management (Europe) SA
51
SHn/a
1566[+]Mirabaud Convertible Bonds Global A USDMirabaud Asset Management (Europe) SA
56
SHn/a
1567[+]Mirabaud Convertible Bonds Europe A EURMirabaud Asset Management (Europe) SA
45
28.4
1568[+]Mirabaud Active Allocation Balanced I EURMirabaud Asset Management (Europe) SA
54
n/a
1569[+]Milltrust Greater China AMilltrust International LLP
112
SHn/a
1570[+]MGI US Equity Z - 1 GBPMercer Global Investment Mgmt
98
63.1
1571[+]MGI UK Long Gilt I - 1Mercer Global Investment Mgmt
87
SS25.5
1572[+]MGI UK Inflation Linked Bond M - 7Mercer Global Investment Mgmt
80
SS22.7
1573[+]MGI UK Cash I - 1Mercer Global Investment Mgmt
1
0.7
1574[+]MGI Pacific Basin (Ex Japan) Equity Z - 1 GBPMercer Global Investment Mgmt
88
25.4
1575[+]MGI Japanese Equity Z - 1 GBPMercer Global Investment Mgmt
121
29.3

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