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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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  £

Period

Additional information

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Fund performance league table: 4173 funds

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4173 funds
Rank ChartFund Group FE Risk Score What is FE Risk Score?FE Crown Rating What is FE Crown Rating?3y  
1951[+]JSS New Power P EUR accSarasin Investmentfonds Sicav
101
39.2
1952[+]JSS GlobalSar Growth (EUR) P EUR accSarasin Investmentfonds Sicav
71
58.1
1953[+]JSS GlobalSar Balanced (EUR) P EUR distSarasin Investmentfonds Sicav
51
43.3
1954[+]JSS GlobalSar Balanced (CHF) P CHF distSarasin Investmentfonds Sicav
99
35.0
1955[+]JSS Global Return (EUR) P EUR distSarasin Investmentfonds Sicav
48
19.6
1956[+]JSS EquiSar International Income P EUR accSarasin Investmentfonds Sicav
77
70.7
1957[+]JSS EquiSar IIID P EUR accSarasin Investmentfonds Sicav
61
23.5
1958[+]JSS EquiSar Global P EUR distSarasin Investmentfonds Sicav
92
66.7
1959[+]JSS EmergingSar New Frontiers P USD distSarasin Investmentfonds Sicav
65
1.5
1960[+]JSS EmergingSar Global P USD distSarasin Investmentfonds Sicav
97
-2.1
1961[+]JSS Corporate Bond - Global Emerging Markets P Acc USDSarasin Investmentfonds Sicav
n/a
SHn/a
1962[+]JSS CET Equity Fund P hedged acc USDSarasin Investmentfonds Sicav
n/a
SHn/a
1963[+]JSS Alternative Multi-Strategy P Acc USDSarasin Investmentfonds Sicav
n/a
SHn/a
1964[+]JPMorgan ThailandJPMorgan UTs (HK) Ltd
126
42.0
1965[+]JPMorgan SAR Japan A NAVJP Morgan (Asia) Limited
122
43.3
1966[+]JPMorgan SAR Hong Kong Dollar Bond A NAVJP Morgan (Asia) Limited
53
6.7
1967[+]JPMorgan SAR Hong Kong A NAVJP Morgan (Asia) Limited
128
52.6
1968[+]JPMorgan SAR Greater China A NAVJP Morgan (Asia) Limited
121
55.3
1969[+]JPMorgan SAR Global Bond A NAVJP Morgan (Asia) Limited
50
6.0
1970[+]JPMorgan SAR European A NAVJP Morgan (Asia) Limited
89
50.7
1971[+]JPMorgan SAR Asian A NAVJP Morgan (Asia) Limited
87
17.6
1972[+]JPMorgan SAR American A NAVJP Morgan (Asia) Limited
90
55.3
1973[+]JPMorgan Provident US Dollar MoneyJP Morgan (Asia) Limited
50
-1.1
1974[+]JPMorgan Provident Stable CapitalJP Morgan (Asia) Limited
50
10.2
1975[+]JPMorgan Provident Hong Kong Dollar MoneyJP Morgan (Asia) Limited
50
0.2
1976[+]JPMorgan Provident Hong KongJP Morgan (Asia) Limited
127
51.4
1977[+]JPMorgan Provident High GrowthJP Morgan (Asia) Limited
83
43.0
1978[+]JPMorgan Provident GrowthJP Morgan (Asia) Limited
70
35.1
1979[+]JPMorgan Provident Global BondJP Morgan (Asia) Limited
51
4.9
1980[+]JPMorgan Provident CapitalJP Morgan (Asia) Limited
52
17.2
1981[+]JPMorgan Provident BalancedJP Morgan (Asia) Limited
60
25.3
1982[+]JPMorgan Pacific TechnologyJPMorgan UTs (HK) Ltd
100
36.2
1983[+]JPMorgan Pacific SecuritiesJPMorgan UTs (HK) Ltd
93
37.5
1984[+]JPMorgan JPM Global Property Income NAVJP Morgan (Asia) Limited
89
47.8
1985[+]JPMorgan IndiaJPMorgan UTs (HK) Ltd
152
45.6
1986[+]JPMorgan EvergreenJP Morgan (Asia) Limited
63
24.8
1987[+]JPMorgan Eastern Smaller CompaniesJPMorgan UTs (HK) Ltd
86
59.8
1988[+]JPMorgan Eastern NAVJP Morgan (Asia) Limited
101
27.1
1989[+]JPMorgan AustraliaJP Morgan (Asia) Limited
100
21.9
1990[+]JPMorgan Asian Total Return Bond Acc NAV USDJP Morgan (Asia) Limited
48
SH14.5
1991[+]JPMorgan ASEANJPMorgan UTs (HK) Ltd
81
18.9
1992[+]JPM US Value A Dis USDJP Morgan Asset Management
88
54.3
1993[+]JPM US Technology A Dis USDJP Morgan Asset Management
127
44.4
1994[+]JPM US Smaller Companies A (perf) AccJP Morgan Asset Management
97
60.8
1995[+]JPM US Small Cap Growth A Dis USDJP Morgan Asset Management
126
55.8
1996[+]JPM US Short Duration Bond A Acc NAV USDJP Morgan Asset Management
50
1.4
1997[+]JPM US Select Long Short Equity A (perf) Acc NAV USDJP Morgan Asset Management
42
17.7
1998[+]JPM US Select Equity Plus A (perf) Acc NAV USDJP Morgan Asset Management
94
66.9
1999[+]JPM US High Yield Plus Bond A Dis NAV USDJP Morgan Asset Management
29
SHn/a
2000[+]JPM US Growth A Acc NAV USDJP Morgan Asset Management
105
51.0
2001[+]JPM US Equity Plus A (perf) Acc NAV USDJP Morgan Asset Management
104
62.3
2002[+]JPM US Dollar Money Market A Acc NAV USDJP Morgan Asset Management
n/a
SHn/a
2003[+]JPM US Aggregate Bond A Acc NAV USDJP Morgan Asset Management
52
6.9
2004[+]JPM Turkey Equity A Acc NAVJP Morgan Asset Management
222
30.6
2005[+]JPM Taiwan A Acc $JP Morgan Asset Management
108
37.6
2006[+]JPM Systematic Alpha A Acc EURJP Morgan Asset Management
26
US8.1
2007[+]JPM Sterling Bond A DisJP Morgan Asset Management
59
32.2
2008[+]JPM Singapore A Acc $JP Morgan Asset Management
72
15.9
2009[+]JPM Russia A Acc $JP Morgan Asset Management
214
-27.0
2010[+]JPM Pacific Equity A Dis USDJP Morgan Asset Management
96
35.0
2011[+]JPM Managed Reserves A NAV USDJP Morgan Asset Management
1
1.0
2012[+]JPM Liq US Dollar Treasury Liquidity Morgan NAV USDJP Morgan Liquidity Fund
50
0.0
2013[+]JPM Liq US Dollar Liquidity X NAVJP Morgan Liquidity Fund
50
0.7
2014[+]JPM Liq Sterling Liquidity X AccJP Morgan Liquidity Fund
0
1.6
2015[+]JPM Liq Euro Liquidity DJP Morgan Liquidity Fund
46
0.0
2016[+]JPM Liq Australian Dollar Liquidity Morgan Dis AUDJP Morgan Liquidity Fund
69
14.1
2017[+]JPM Latin America Equity A Dis NAV USDJP Morgan Asset Management
153
-20.5
2018[+]JPM Korea Equity A Acc NAV USDJP Morgan Asset Management
104
7.1
2019[+]JPM Japan Market Neutral A Acc JPYJP Morgan Asset Management
65
US-3.0
2020[+]JPM Japan Equity A Dis NAV USDJP Morgan Asset Management
n/a
49.3
2021[+]JPM Inv US Select Equity A Acc NAV USDJP Morgan Investment Funds
94
62.0
2022[+]JPM Inv US Equity A Acc NAV USDJP Morgan Investment Funds
97
60.6
2023[+]JPM Inv US Bond A Acc NAV USDJP Morgan Investment Funds
53
17.2
2024[+]JPM Inv Japan Strategic Value A Acc JPYJP Morgan Investment Funds
142
101.5
2025[+]JPM Inv Japan Select Equity A JPYJP Morgan Investment Funds
117
98.0

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