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0 622

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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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: 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  
2026[+]JPM Japan Equity A Dis NAV USDJP Morgan Asset Management
n/a
42.9
2027[+]JPM Inv US Select Equity A Acc NAV USDJP Morgan Investment Funds
100
77.9
2028[+]JPM Inv US Equity A Acc NAV USDJP Morgan Investment Funds
103
77.4
2029[+]JPM Inv US Bond A Acc NAV USDJP Morgan Investment Funds
50
18.2
2030[+]JPM Inv Japan Strategic Value A Acc JPYJP Morgan Investment Funds
177
101.4
2031[+]JPM Inv Japan Select Equity A JPYJP Morgan Investment Funds
136
96.4
2032[+]JPM Inv Japan 50 Equity A JPYJP Morgan Investment Funds
139
94.0
2033[+]JPM Inv Income Opportunity A Hedged (perf) Acc EURJP Morgan Investment Funds
10
7.8
2034[+]JPM Inv Highbridge Statistical Market Neutral A (perf) Acc EURJP Morgan Investment Funds
40
US1.1
2035[+]JPM Inv Global Select Equity Plus A (perf) Acc NAV USDJP Morgan Investment Funds
99
54.8
2036[+]JPM Inv Global Select Equity A NAV USDJP Morgan Investment Funds
97
57.4
2037[+]JPM Inv Global Dividend A Acc NAV USDJP Morgan Investment Funds
87
41.5
2038[+]JPM Inv Global Convertibles USD A Acc NAV USDJP Morgan Investment Funds
65
36.1
2039[+]JPM Inv Global Conservative Balanced A Acc EURJP Morgan Investment Funds
54
11.6
2040[+]JPM Inv Global Capital Preservation (USD) A Acc NAV USDJP Morgan Investment Funds
67
13.5
2041[+]JPM Inv Global Capital Appreciation AJP Morgan Investment Funds
74
35.4
2042[+]JPM Inv Global Balanced A EURJP Morgan Investment Funds
58
32.8
2043[+]JPM Inv Europe Strategic Dividend A AccJP Morgan Investment Funds
96
61.0
2044[+]JPM Inv Europe Select Equity A Acc EURJP Morgan Investment Funds
108
66.8
2045[+]JPM Inv Blue & Green AJP Morgan Investment Funds
49
8.5
2046[+]JPM Indonesia Equity A Acc NAV USDJP Morgan Asset Management
171
SHn/a
2047[+]JPM India A Acc NAV USDJP Morgan Asset Management
154
44.2
2048[+]JPM Income Opportunity Plus A (perf) Acc NAV USDJP Morgan Asset Management
14
SH8.8
2049[+]JPM Hong Kong D Acc NAV USDJP Morgan Asset Management
124
38.8
2050[+]JPM Highbridge US Steep A (perf) NAV USDJP Morgan Asset Management
98
72.9
2051[+]JPM Highbridge Europe STEEP A (perf) Acc EURJP Morgan Asset Management
102
62.0
2052[+]JPM Greater China A Acc NAV USDJP Morgan Asset Management
117
51.0
2053[+]JPM Global Unconstrained Equity A Acc NAV USDJP Morgan Asset Management
93
53.7
2054[+]JPM Global Strategic Bond A (perf) NAV USDJP Morgan Asset Management
18
9.0
2055[+]JPM Global Socially Responsible A DisJP Morgan Asset Management
97
55.0
2056[+]JPM Global Short Duration Bond A Acc NAV USDJP Morgan Asset Management
6
4.6
2057[+]JPM Global Research Enhanced Index Equity C (perf) Acc EURJP Morgan Asset Management
94
SHn/a
2058[+]JPM Global Real Estate Securities (USD) A Acc NAV USDJP Morgan Asset Management
95
51.3
2059[+]JPM Global Natural Resources A Acc EURJP Morgan Asset Management
145
-37.3
2060[+]JPM Global Merger Arbitrage A Acc NAV USDJP Morgan Asset Management
22
US-0.4
2061[+]JPM Global Income A Acc EURJP Morgan Investment Funds
n/a
SHn/a
2062[+]JPM Global Healthcare A Acc NAV USDJP Morgan Asset Management
111
148.7
2063[+]JPM Global Government Short Duration Bond A Acc EURJP Morgan Asset Management
5
2.2
2064[+]JPM Global Government Bond A Acc EURJP Morgan Asset Management
49
11.0
2065[+]JPM Global Focus A Acc EURJP Morgan Asset Management
110
60.4
2066[+]JPM Global Financials A Acc NAV USDJP Morgan Asset Management
103
66.7
2067[+]JPM Global Dynamic A Dis USDJP Morgan Asset Management
102
53.1
2068[+]JPM Global Developing Trends A Cap NAV USDJP Morgan Asset Management
92
SHn/a
2069[+]JPM Global Credit Bond A Acc NAV USDJP Morgan Asset Management
47
SS20.9
2070[+]JPM Global Corporate Bond A Acc NAV USDJP Morgan Asset Management
24
18.0
2071[+]JPM Global Convertibles EUR A Acc EURJP Morgan Asset Management
51
34.8
2072[+]JPM Global Consumer Trends A Acc EURJP Morgan Asset Management
88
51.8
2073[+]JPM Global Bond Opportunities A Acc NAV USDJP Morgan Asset Management
n/a
SHn/a
2074[+]JPM Global Aggregate Bond A Inc NAVJP Morgan Asset Management
38
4.4
2075[+]JPM Global Absolute Return Bond A Acc NAV USDJP Morgan Asset Management
47
4.1
2076[+]JPM Germany Equity A AccJP Morgan Asset Management
127
68.2
2077[+]JPM Financials Bond A Acc EURJP Morgan Asset Management
47
SH24.3
2078[+]JPM Europe Technology A Dis NAV EURJP Morgan Asset Management
120
93.3
2079[+]JPM Europe Strategic Value A Dis EURJP Morgan Asset Management
108
59.8
2080[+]JPM Europe Strategic Growth A Dis EURJP Morgan Asset Management
108
81.3
2081[+]JPM Europe Small Cap A Dis EURJP Morgan Asset Management
118
85.9
2082[+]JPM Europe Select Equity Plus A (perf) Acc EURJP Morgan Asset Management
107
67.6
2083[+]JPM Europe High Yield Bond A AccJP Morgan Asset Management
54
41.3
2084[+]JPM Europe Focus A (perf) Acc EURJP Morgan Asset Management
118
75.1
2085[+]JPM Europe Equity Plus A (perf) Acc EURJP Morgan Asset Management
108
85.2
2086[+]JPM Europe Equity A Dis EURJP Morgan Asset Management
102
65.2
2087[+]JPM Europe Dynamic Small Cap A (perf) AccJP Morgan Asset Management
130
88.9
2088[+]JPM Europe Dynamic A Dis EURJP Morgan Asset Management
114
78.1
2089[+]JPM Europe Aggregate Plus Bond A AccJP Morgan Asset Management
49
26.4
2090[+]JPM Euroland Select Equity A Acc EURJP Morgan Asset Management
125
59.8
2091[+]JPM Euroland Focus A (perf) Acc EURJP Morgan Asset Management
127
SH69.4
2092[+]JPM Euroland Equity A Acc EURJP Morgan Asset Management
n/a
67.4
2093[+]JPM Euroland Dynamic A (perf) Acc EURJP Morgan Asset Management
126
SH85.3
2094[+]JPM Euro Short Duration Bond A Acc EURJP Morgan Asset Management
6
8.0
2095[+]JPM Euro Money Market D Acc NAV EURJP Morgan Asset Management
44
0.0
2096[+]JPM Euro Inflation Linked Bond A EURJP Morgan Asset Management
46
SH6.8
2097[+]JPM Euro Government Short Duration Bond A AccJP Morgan Asset Management
44
7.6
2098[+]JPM Euro Corporate Bond A EURJP Morgan Asset Management
45
24.7
2099[+]JPM Euro Aggregate Bond A EURJP Morgan Asset Management
47
24.2
2100[+]JPM EU Government Bond A AccJP Morgan Asset Management
49
26.7

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