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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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Sectors

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

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You can compare the performance of offshore funds with their onshore counterparts by selecting this option.

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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.

More :Sharpe Ratio help Close x
       %
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: 4058 funds

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4058 funds
Rank ChartFund Group FE Risk Score What is FE Risk Score?FE Crown Rating What is FE Crown Rating?3y  
1876[+]Lazard Global Equity Select InstLazard (IRL)
99
SHn/a
1877[+]Lazard Global Equity Income C Retail Inc GBPLazard (IRL)
n/a
SHn/a
1878[+]Lazard Global Classic Value Equity I Acc USDLazard (IRL)
89
31.7
1879[+]Lazard Global Active UK Equity Ret GBPLazard (IRL)
97
40.1
1880[+]Lazard Global Active Thematic Global Ex JapanLazard (IRL)
85
37.5
1881[+]Lazard Global Active Sterling High Quality Bond RetLazard (IRL)
35
SS15.4
1882[+]Lazard Global Active Pan European Equity EURLazard (IRL)
103
66.4
1883[+]Lazard Global Active Japanese Equity Ret JPYLazard (IRL)
220
43.8
1884[+]Lazard Global Active Global Trend Inst AccLazard (IRL)
90
SH43.1
1885[+]Lazard Global Active Global Listed Infrastructure Equity GBPLazard (IRL)
85
SHn/a
1886[+]Lazard Global Active Global High Quality BondLazard (IRL)
38
-0.8
1887[+]Lazard Global Active European Equity EURLazard (IRL)
110
62.5
1888[+]Lazard Global Active Emerging Market Equity Inst USDLazard (IRL)
121
16.3
1889[+]Lazard Global Active Developing Markets Equity Inst USDLazard (IRL)
122
-5.3
1890[+]Lazard Global Active Controlled Volatility InstLazard (IRL)
73
SH52.2
1891[+]Lazard Emerging World RetLazard (IRL)
98
17.8
1892[+]Lazard Emerging Markets Total Return Debt US Management USDLazard (IRL)
62
SH13.5
1893[+]Lazard Emerging Markets Local Debt Inst Acc USDLazard (IRL)
75
0.1
1894[+]Lazard Emerging Markets Debt Blend Inst Acc USDLazard (IRL)
70
SHn/a
1895[+]Lazard Emerging Markets Core Equity InstLazard (IRL)
108
SHn/a
1896[+]Lazard Emerging Markets Bond Inst USDLazard (IRL)
65
18.8
1897[+]Lazard Emerging Markets Allocation Inst Acc USDLazard (IRL)
82
SH3.0
1898[+]La Mondiale UK Fixed InterestLa Mondiale Europartner
49
19.8
1899[+]La Mondiale UK EquityLa Mondiale Europartner
94
43.6
1900[+]La Mondiale UK CashLa Mondiale Europartner
1
0.3
1901[+]La Mondiale Japanese Equity GBPLa Mondiale Europartner
126
21.1
1902[+]La Mondiale International Equity GBPLa Mondiale Europartner
96
41.3
1903[+]La Mondiale Global BondLa Mondiale Europartner
42
3.8
1904[+]La Mondiale European Equity EURLa Mondiale Europartner
44
0.0
1905[+]La Mondiale Euro CashLa Mondiale Europartner
43
0.4
1906[+]La Mondiale Euro BondLa Mondiale Europartner
48
20.6
1907[+]La Mondiale American EquityLa Mondiale Europartner
102
62.7
1908[+]La Fayette Regular Growth SP B USDLa Fayette
73
US-6.0
1909[+]La Fayette Opportunity USDLa Fayette
81
US20.6
1910[+]La Fayette Holdings USDLa Fayette
81
US17.3
1911[+]La Fayette Europe SP A USDLa Fayette
139
US-10.2
1912[+]Kotak India Mid Cap A USDKotak Mahindra (UK) Ltd
176
96.1
1913[+]Kotak India Growth A Acc USDKotak Mahindra (UK) Ltd
150
77.8
1914[+]Kijani Commodity A EURBelvedere Management Ltd
52
SHn/a
1915[+]Kestrel Global Portfolio A GBPKestrel Investment Partners
66
SHn/a
1916[+]KBI Institutional Dividend Plus North America Equity DKleinwort Benson Investors
n/a
SHn/a
1917[+]KBI Inst Water A EURKleinwort Benson Investors
106
78.6
1918[+]KBI Inst Long Bond Plus 1Kleinwort Benson Investors
64
SS52.4
1919[+]KB Elite Sterling Fixed Income A Reporting Inc GBPKleinwort Benson CI InvtMgtLtd
31
10.9
1920[+]KB Elite Multi-Asset Conservative B Non Reporting Acc GBPKleinwort Benson CI InvtMgtLtd
28
SHn/a
1921[+]KB Elite Multi-Asset Conservative A Reporting IncGBPKleinwort Benson CI InvtMgtLtd
27
8.0
1922[+]KB Elite Multi-Asset Balanced B Non Reporting Acc USDKleinwort Benson CI InvtMgtLtd
75
SHn/a
1923[+]KB Elite Multi-Asset Balanced B Non Reporting Acc GBPKleinwort Benson CI InvtMgtLtd
50
SHn/a
1924[+]KB Elite Multi-Asset Balanced A Inc GBPKleinwort Benson CI InvtMgtLtd
49
13.8
1925[+]Kames Strategic Global Bond B Inc USDKames Capital
46
20.7
1926[+]Kames Investment Grade Global Bond A Inc USDKames Capital
45
25.0
1927[+]Kames High Yield Global Bond A Inc USDKames Capital
52
32.9
1928[+]Kames Global Equity Income B Acc USDKames Capital
89
SHn/a
1929[+]Kames Equity Market Neutral B GBPKames Capital
n/a
SHn/a
1930[+]Kames Absolute Return Bond B Acc GBPKames Capital
5
SH6.2
1931[+]Jupiter JGF Strategic Total Return L Acc EURJupiter Asset Management
11
6.4
1932[+]Jupiter JGF North American Equities L Acc USDJupiter Asset Management
99
77.0
1933[+]Jupiter JGF New Europe L Acc EURJupiter Asset Management
162
-10.6
1934[+]Jupiter JGF Merlin Real Return Portfolio I Acc EURJupiter Asset Management
n/a
SHn/a
1935[+]Jupiter JGF Merlin International Equities L Acc EURJupiter Asset Management
87
35.8
1936[+]Jupiter JGF Merlin International Balanced Portfolio L Acc EURJupiter Asset Management
60
20.5
1937[+]Jupiter JGF Japan Select L Acc USDJupiter Asset Management
120
27.2
1938[+]Jupiter JGF India Select L A Inc USDJupiter Asset Management
155
55.0
1939[+]Jupiter JGF Global Financials L Acc EURJupiter Asset Management
103
74.5
1940[+]Jupiter JGF Global Equities L Acc USDJupiter Asset Management
85
37.9
1941[+]Jupiter JGF Global Ecology Growth L Acc EURJupiter Asset Management
94
53.1
1942[+]Jupiter JGF Global Convertibles L Acc EURJupiter Asset Management
36
23.0
1943[+]Jupiter JGF European Opportunities L Acc EURJupiter Asset Management
108
64.9
1944[+]Jupiter JGF European Growth L Acc EURJupiter Asset Management
102
81.2
1945[+]Jupiter JGF Europa L B Acc EURJupiter Asset Management
57
21.9
1946[+]Jupiter JGF Dynamic Bond L Q Inc EURJupiter Asset Management
18
SHn/a
1947[+]Jupiter JGF China Select L Acc USDJupiter Asset Management
124
50.9
1948[+]Jupiter JGF Asia Pacific L Acc USDJupiter Asset Management
87
35.1
1949[+]Jul Baer RobecoSAM Sustainable Water B Cap EURSwiss&Gbl Asset Mgt (Lux) S.A.
87
72.7
1950[+]Jul Baer RobecoSAM Smart Materials B EURSwiss&Gbl Asset Mgt (Lux) S.A.
98
37.8

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