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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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Additional information

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Fund performance league table: 4085 funds

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4085 funds
Rank ChartFund Group FE Risk Score What is FE Risk Score?FE Crown Rating What is FE Crown Rating?3y  
2176[+]JPM Emerging Markets Local Currency Debt A Acc NAV USDJPMorgan Asset Mgmt (Europe) S.a r.l.
72
-23.5
2177[+]JPM Emerging Markets Investment Grade Bond A Acc NAV USDJPMorgan Asset Mgmt (Europe) S.a r.l.
52
7.7
2178[+]JPM Emerging Markets Equity A Dis USDJPMorgan Asset Mgmt (Europe) S.a r.l.
124
-23.3
2179[+]JPM Emerging Markets Dividend A Acc NAV USDJPMorgan Asset Mgmt (Europe) S.a r.l.
n/a
-23.8
2180[+]JPM Emerging Markets Diversified Equity I Acc NAV USDJPMorgan Asset Mgmt (Europe) S.a r.l.
114
-24.0
2181[+]JPM Emerging Markets Debt A Acc NAV USDJPMorgan Asset Mgmt (Europe) S.a r.l.
n/a
5.0
2182[+]JPM Emerging Markets Corporate Bond A Acc NAV USDJPMorgan Asset Mgmt (Europe) S.a r.l.
22
7.1
2183[+]JPM Emerging Markets Bond A Acc NAV USDJPMorgan Asset Mgmt (Europe) S.a r.l.
30
5.2
2184[+]JPM Emerging Europe Middle East & Africa Equity A Acc $JPMorgan Asset Mgmt (Europe) S.a r.l.
150
-29.7
2185[+]JPM Emerging Europe Equity A Acc EURJPMorgan Asset Mgmt (Europe) S.a r.l.
146
-44.0
2186[+]JPM Diversified Risk A Acc NAV USDJPMorgan Asset Mgmt (Europe) S.a r.l.
58
SH17.1
2187[+]JPM China A Acc $JPMorgan Asset Mgmt (Europe) S.a r.l.
143
-2.8
2188[+]JPM Brazil Equity A Acc NAV USDJPMorgan Asset Mgmt (Europe) S.a r.l.
176
-59.8
2189[+]JPM Blue and Green AJPMorgan Asset Mgmt (Europe) S.a r.l.
57
0.0
2190[+]JPM Asia Pacific Income A Acc $JPMorgan Asset Mgmt (Europe) S.a r.l.
51
8.4
2191[+]JPM Asia Pacific Equity A Acc $JPMorgan Asset Mgmt (Europe) S.a r.l.
103
-0.9
2192[+]JPM Asia Local Currency Debt A Acc NAV USDJPMorgan Asset Mgmt (Europe) S.a r.l.
52
2.0
2193[+]JPM Asia Equity A Acc NAV USDJPMorgan Asset Mgmt (Europe) S.a r.l.
109
-12.8
2194[+]JPM ASEAN Equity A NAV USDJPMorgan Asset Mgmt (Europe) S.a r.l.
110
-7.9
2195[+]JPM America Equity A Acc NAV USDJPMorgan Asset Mgmt (Europe) S.a r.l.
94
33.4
2196[+]JPM Aggregate Bond A NAV USDJPMorgan Asset Mgmt (Europe) S.a r.l.
17
18.8
2197[+]JPM Africa Equity A (perf) Acc NAV USDJPMorgan Asset Mgmt (Europe) S.a r.l.
151
-29.6
2198[+]JP Morgan Global Protected Profits IIJP Morgan Mansart Mgmt Ltd
44
-1.9
2199[+]JOM SilkkitieJOM Fund Management
109
1.2
2200[+]JOHCM US Small Mid Cap Equity A GBPJO Hambro Capital Management
n/a
SHn/a
2201[+]JOHCM UK Growth BJO Hambro Capital Management
78
7.8
2202[+]JOHCM Japan Dividend Growth A Hedge GBPJO Hambro Capital Management
122
SHn/a
2203[+]JOHCM Japan B GBPJO Hambro Capital Management
94
13.3
2204[+]JOHCM Global Select B GBPJO Hambro Capital Management
85
27.3
2205[+]JOHCM Global Opportunities B GBPJO Hambro Capital Management
63
38.3
2206[+]JOHCM Global Emerging Markets Opportunities B GBPJO Hambro Capital Management
108
-13.4
2207[+]JOHCM European Select Value B GBPJO Hambro Capital Management
75
16.8
2208[+]JOHCM Emerging Markets B GBPJO Hambro Capital Management
102
-16.0
2209[+]JOHCM Continental European B GBPJO Hambro Capital Management
82
18.4
2210[+]JOHCM Asia ex Japan Small and Mid Cap B GBPJO Hambro Capital Management
96
22.1
2211[+]JOHCM Asia ex Japan B GBPJO Hambro Capital Management
86
4.8
2212[+]JMF-Jupiter Merlin Real Return Portfolio I Acc EURJupiter Asset Management
n/a
SH11.3
2213[+]JMF-Jupiter Merlin International Equities Portfolio L Acc EURJupiter Asset Management
67
1.8
2214[+]JMF-Jupiter Merlin International Balanced Portfolio L Acc EURJupiter Asset Management
46
-2.8
2215[+]JI US Equities CLJyske Invest International
82
32.9
2216[+]JI Turkish Equities CLJyske Invest International
184
-38.4
2217[+]JI Swedish Bonds CLJyske Invest International
52
SS-5.1
2218[+]JI Stable Strategy CLJyske Invest International
43
1.6
2219[+]JI Russian Equities CLJyske Invest International
205
-50.1
2220[+]JI Latin American Equities CLJyske Invest International
144
-52.5
2221[+]JI Japanese Equities CLJyske Invest International
100
2.3
2222[+]JI Indian Equities CLJyske Invest International
118
7.7
2223[+]JI Income Strategy CLJyske Invest International
49
0.2
2224[+]JI High Yield Corporate Bonds CLJyske Invest International
61
-1.0
2225[+]JI High Grade Corporate Bonds CLJyske Invest International
46
2.6
2226[+]JI Growth Strategy CLJyske Invest International
58
4.5
2227[+]JI Global Equities CLJyske Invest International
83
14.7
2228[+]JI German Equities CLJyske Invest International
97
2.9
2229[+]JI Favourite EquityJyske Invest International
76
16.9
2230[+]JI Favourite Bonds CLJyske Invest International
52
1.0
2231[+]JI Far Eastern Equities CLJyske Invest International
106
0.9
2232[+]JI European Equities CLJyske Invest International
76
9.7
2233[+]JI European Bonds CLJyske Invest International
43
10.4
2234[+]JI Emerging Markets Bonds CLJyske Invest International
62
6.7
2235[+]JI Emerging Market Equities CLJyske Invest International
120
-25.9
2236[+]JI Emerging Market Bonds EUR CLJyske Invest International
61
-10.0
2237[+]JI Emerging Local Market Bonds CLJyske Invest International
73
-21.6
2238[+]JI Dynamic Strategy CLJyske Invest International
49
4.9
2239[+]JI Dollar Bonds CLJyske Invest International
57
17.6
2240[+]JI Danish Equities CLJyske Invest International
82
55.8
2241[+]JI Danish Bonds CLJyske Invest International
49
SS-0.6
2242[+]JI Chinese Equities CLJyske Invest International
140
-20.4
2243[+]JI British Bonds CLJyske Invest International
36
SS18.8
2244[+]JI Balanced Strategy NOK CLJyske Invest International
60
-17.1
2245[+]JI Balanced Strategy GBP CLJyske Invest International
38
10.7
2246[+]JI Balanced Strategy CL EURJyske Invest International
42
3.1
2247[+]JI Aggressive Strategy CLJyske Invest International
76
16.9
2248[+]JGF-Jupiter Strategic Total Return L Acc EURJupiter Asset Management
11
-7.8
2249[+]JGF-Jupiter North American Equities L Acc USDJupiter Asset Management
81
32.7
2250[+]JGF-Jupiter New Europe L Acc EURJupiter Asset Management
138
-41.7

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 Pence Sterling (GBX).

Key to codes

LC : Low correlation to benchmarks
SH : Fund with a short history
US : Fund in an unrated sector
PT : Passive fund

Data provided by FE. Care has been taken to ensure that the information is correct, but FE neither warrants, represents nor guarantees the contents of information, nor does it accept any responsibility for errors, inaccuracies, omissions or any inconsistencies herein. Past performance does not predict future performance, it should not be the main or sole reason for making an investment decision. The value of investments and any income from them can fall as well as rise.