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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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  £

Period

Additional information

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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  
1501[+]Natixis Loomis Sayles US Research R Acc USDNatixis Global Asset Mgmt S.A.
88
47.7
1502[+]Natixis Loomis Sayles Strategic Alpha Bond C USDNatixis Global Asset Mgmt S.A.
n/a
SHn/a
1503[+]Natixis Loomis Sayles Multi Sector Income C Acc USDNatixis Global Asset Mgmt S.A.
27
16.2
1504[+]Natixis Loomis Sayles High Income R Acc USDNatixis Global Asset Mgmt S.A.
n/a
SHn/a
1505[+]Natixis Loomis Sayles Global Opportunistic Bond C Acc USDNatixis Global Asset Mgmt S.A.
37
-3.6
1506[+]Natixis Loomis Sayles Global Credit R Acc USDNatixis Global Asset Mgmt S.A.
38
5.9
1507[+]Natixis Loomis Sayles Emerging Debt & Currencies R Acc USDNatixis Global Asset Mgmt S.A.
n/a
SHn/a
1508[+]Natixis IDFC India Equities RENatixis Global Asset Mgmt S.A.
117
SHn/a
1509[+]Natixis Harris Associates US Equity C Acc USDNatixis Global Asset Mgmt S.A.
n/a
SHn/a
1510[+]Natixis Harris Associates Global Equity C Acc USDNatixis Global Asset Mgmt S.A.
93
40.6
1511[+]Natixis Harris Associates Concentrated US Equity R Acc USDNatixis Global Asset Mgmt S.A.
97
50.7
1512[+]Natixis H2O Multibonds R EURNatixis Global Asset Mgmt S.A.
86
120.9
1513[+]Natixis H2O Allegro H R C USDNatixis Global Asset Mgmt S.A.
86
SHn/a
1514[+]Natixis H2O Adagio RNatixis Global Asset Mgmt S.A.
43
19.5
1515[+]Natixis Euro High Income R Acc EURNatixis Global Asset Mgmt S.A.
46
34.6
1516[+]Natixis Emerging Latin America Equity R Acc USDNatixis Global Asset Mgmt S.A.
158
-33.5
1517[+]Natixis Emerging Europe R Acc EUR USDNatixis Global Asset Mgmt S.A.
177
SHn/a
1518[+]Natixis Actions Us Value Ret Cap USDNatixis Global Asset Mgmt S.A.
87
51.3
1519[+]Natixis Actions US Growth Ret CapNatixis Global Asset Mgmt S.A.
86
60.0
1520[+]Natixis Absolute Asia AM Pacific RIM Equities R Acc EUR USDNatixis Global Asset Mgmt S.A.
91
SHn/a
1521[+]Natixis Absolute Asia AM Emerging Asia R Acc USDNatixis Global Asset Mgmt S.A.
100
20.6
1522[+]Muzinich Short Duration High Yield Hedged R USDMuzinich & Co
49
9.2
1523[+]Muzinich Americayield R Acc USDMuzinich & Co
52
17.6
1524[+]Multibond Emerging Bond (USD) B USDSwiss&Gbl Asset Mgt (Lux) S.A.
59
11.8
1525[+]MU Japan Equity Value A JPYMitsubishi UFJ Ast Mgt UK Ltd
108
97.0
1526[+]MS MS Alkeon UCITS A USDFundLogic SAS
72
SHn/a
1527[+]MPL Traded Policies Recovery SEKManaging Partners Limited
167
US-28.6
1528[+]MPL Traded Policies Inst GBPManaging Partners Limited
158
US-59.1
1529[+]MPL Traded Policies Growth SEKManaging Partners Limited
161
US-54.3
1530[+]MPL Traded Policies Growth JPYManaging Partners Limited
165
US-57.5
1531[+]Mourant Defined Investments PCC UK Balanced Sector 2 PCMourant & Co
66
SH24.1
1532[+]Morg Stnly US Property I USDMorgan Stanley InvestmentFunds
102
SS37.2
1533[+]Morg Stnly US Growth I USDMorgan Stanley InvestmentFunds
105
62.3
1534[+]Morg Stnly US Dollar Liquidity A USDMorgan Stanley InvestmentFunds
47
0.0
1535[+]Morg Stnly US Advantage A USDMorgan Stanley InvestmentFunds
87
54.0
1536[+]Morg Stnly Short Maturity Euro Bond I EURMorgan Stanley InvestmentFunds
46
5.9
1537[+]Morg Stnly Latin American Equity I USDMorgan Stanley InvestmentFunds
163
-25.1
1538[+]Morg Stnly Japanese Equity A JPYMorgan Stanley InvestmentFunds
110
84.6
1539[+]Morg Stnly Indian Equity A USDMorgan Stanley InvestmentFunds
127
57.2
1540[+]Morg Stnly Global Property A USDMorgan Stanley InvestmentFunds
79
41.2
1541[+]Morg Stnly Global Premier Credit A USDMorgan Stanley InvestmentFunds
40
SHn/a
1542[+]Morg Stnly Global Opportunity A USDMorgan Stanley InvestmentFunds
96
57.8
1543[+]Morg Stnly Global Mortgage Securities A USDMorgan Stanley InvestmentFunds
49
SHn/a
1544[+]Morg Stnly Global Infrastructure A USDMorgan Stanley InvestmentFunds
79
54.1
1545[+]Morg Stnly Global High Yield Bond A USDMorgan Stanley InvestmentFunds
48
SS26.9
1546[+]Morg Stnly Global Fixed Income Opportunities A USDMorgan Stanley InvestmentFunds
n/a
20.0
1547[+]Morg Stnly Global Credit A USDMorgan Stanley InvestmentFunds
36
SHn/a
1548[+]Morg Stnly Global Convertible Bond A USDMorgan Stanley InvestmentFunds
61
28.3
1549[+]Morg Stnly Global Brands A USDMorgan Stanley InvestmentFunds
78
31.7
1550[+]Morg Stnly Global Bond I USDMorgan Stanley InvestmentFunds
37
3.7
1551[+]Morg Stnly Global Balanced Risk Control A EURMorgan Stanley InvestmentFunds
50
34.5
1552[+]Morg Stnly Global Advantage A USDMorgan Stanley InvestmentFunds
80
SHn/a
1553[+]Morg Stnly Eurozone Equity Alpha A EURMorgan Stanley InvestmentFunds
103
80.4
1554[+]Morg Stnly European Property I EURMorgan Stanley InvestmentFunds
86
95.3
1555[+]Morg Stnly European Equity Alpha A EURMorgan Stanley InvestmentFunds
89
63.1
1556[+]Morg Stnly European Currencies High Yield Bond I EURMorgan Stanley InvestmentFunds
48
39.3
1557[+]Morg Stnly Euro Strategic Bond I EURMorgan Stanley InvestmentFunds
43
27.4
1558[+]Morg Stnly Euro Corporate Bond A EURMorgan Stanley InvestmentFunds
46
26.7
1559[+]Morg Stnly Euro Corporate Bond (ex Financials) A EURMorgan Stanley InvestmentFunds
44
SH18.4
1560[+]Morg Stnly Euro Bond I EURMorgan Stanley InvestmentFunds
46
25.4
1561[+]Morg Stnly Emerging Markets Equity A USDMorgan Stanley InvestmentFunds
94
7.8
1562[+]Morg Stnly Emerging Markets Debt A USDMorgan Stanley InvestmentFunds
64
7.2
1563[+]Morg Stnly Emerging Markets Corporate Debt A USDMorgan Stanley InvestmentFunds
53
17.0
1564[+]Morg Stnly Emerging Market Domestic Debt A USDMorgan Stanley InvestmentFunds
68
-16.5
1565[+]Morg Stnly Emerging Leaders Equity A USDMorgan Stanley InvestmentFunds
86
SHn/a
1566[+]Morg Stnly Emerging Europe Middle East and Africa Equity I EURMorgan Stanley InvestmentFunds
110
35.5
1567[+]Morg Stnly Diversified Alpha Plus A EURMorgan Stanley InvestmentFunds
n/a
17.9
1568[+]Morg Stnly Asia-Pacific Equity B USDMorgan Stanley InvestmentFunds
84
18.5
1569[+]Morg Stnly Asian Property I USDMorgan Stanley InvestmentFunds
107
SS35.8
1570[+]Morg Stnly Asian Equity I USDMorgan Stanley InvestmentFunds
92
22.5
1571[+]MontLake DUNN WMA Institutional UCITS Ret EURML Capital Asset Mgt Ltd
132
SH57.0
1572[+]Montanaro European Smaller Companies Unhedged EURMontanaro Eurpn Smaller Co Plc
84
54.5
1573[+]Montanaro European MidCapMontanaro Eurpn Smaller Co Plc
86
SH75.6
1574[+]Montanaro Equity Income GBPMontanaro Eurpn Smaller Co Plc
82
65.3
1575[+]Momentum IF Global Franchise IMomentum Global Investment Mgt
72
SHn/a

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