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Performance

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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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Fund performance league table: 4048 funds

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4048 funds
Rank ChartFund Group Focus FE Risk Score What is FE Risk Score?Currency BidOfferYield 1y 3y 5y  
301[+]Asian Focus A USDBlackfriars
96
USD26.350.004.520.222.8
302[+]Atlantis Asian USDAtlantis Investment Mgmt (Ire)
139
USD7.670.009.234.916.3
303[+]Atlantis ChinaAtlantis Investment Mgmt (Ire)
244
USD8.020.0026.542.32.8
304[+]Atlantis China HealthcareAtlantis Investment Mgmt (Ire)
176
USD2.060.0016.479.7102.5
305[+]Atlantis Japan Opportunities USDAtlantis Investment Mgmt (Ire)
132
USD2.450.0014.796.2127.4
306[+]Atlas Capital First Composite USDAtlas Capital
91
USD446.43446.440.006.1-21.9-32.5
307[+]Aviva Investors Asian Equity Income B USDAviva Investors Luxembourg SA
99
USD5.70n/a-0.117.720.7
308[+]Aviva Investors Emerging Europe Equity B EURAviva Investors Luxembourg SA
97
EUR4.85n/a1.314.5-2.9
309[+]Aviva Investors Emerging Markets Bond A USDAviva Investors Luxembourg SA
46
USD11.83n/a4.92.8n/a
310[+]Aviva Investors Emerging Markets Equity Income B USDAviva Investors Luxembourg SA
92
USD3.42n/a-5.3-1.0-5.2
311[+]Aviva Investors Emerging Markets Equity Small Cap A USDAviva Investors Luxembourg SA
85
USD11.07n/a-0.221.718.0
312[+]Aviva Investors Emerging Markets Local Currency Bond Ix GBPAviva Investors Luxembourg SA
69
GBP86.49n/a-9.4-12.8-3.6
313[+]Aviva Investors European Corporate Bond Bx EURAviva Investors Luxembourg SA
56
EUR1.85n/a-9.03.45.9
314[+]Aviva Investors European Equity B EURAviva Investors Luxembourg SA
91
EUR9.46n/a19.265.761.0
315[+]Aviva Investors European Equity Income BAviva Investors Luxembourg SA
95
EUR13.18n/a5.846.738.8
316[+]Aviva Investors European Real Estate Securities B EURAviva Investors Luxembourg SA
93
EUR14.08n/a16.750.663.3
317[+]Aviva Investors Global Convertibles A USDAviva Investors Luxembourg SA
43
USD13.30n/a3.213.825.7
318[+]Aviva Investors Global High Yield Bond A USDAviva Investors Luxembourg SA
29
USD18.93n/a10.418.141.8
319[+]Aviva Investors Long Term European Bond BAviva Investors Luxembourg SA
80
EUR89.02n/a0.325.624.2
320[+]Aviva Investors Multi Strategy Target Return A EURAviva Investors Luxembourg SA
n/a
EUR10.75n/a-5.4n/an/a
321[+]Aviva Investors Short Term European Bond BAviva Investors Luxembourg SA
58
EUR14.47n/a-10.8-7.2-11.4
322[+]Aviva Investors UK Opportunities BAviva Investors Luxembourg SA
92
GBP5.47n/a10.045.470.7
323[+]AXA Rosbrg Global Defensive Equity Income Alpha B USDAXA Rosenberg Management Ireland Limited
80
USD13.99n/a11.545.3n/a
324[+]AXA Rosbrg Pan European Small Cap Alpha B EURAXA Rosenberg Management Ireland Limited
94
EUR25.11n/a11.275.385.4
325[+]AXA Rosbrg US Defensive Equity Income Alpha BAXA Rosenberg Management Ireland Limited
90
USD15.10n/a17.154.8n/a
326[+]AXA Rosbrg US Small Cap Alpha BAXA Rosenberg Management Ireland Limited
103
USD19.54n/a16.768.2n/a
327[+]AXA World Funds Emerging Markets Short Duration Bonds F Cap USDAXA Investment Managers
23
USD109.13n/a5.9n/an/a
328[+]AXA World Funds Euro 10+LT I CapAXA Investment Managers
76
EUR200.610.00-0.527.435.8
329[+]AXA World Funds Euro 3-5 I CapAXA Investment Managers
55
EUR142.330.00-9.90.32.1
330[+]AXA World Funds Euro 5-7 I CapAXA Investment Managers
55
EUR160.820.00-8.75.810.4
331[+]AXA World Funds Euro 7-10 I CapAXA Investment Managers
57
EUR167.420.00-6.811.618.6
332[+]AXA World Funds Euro Bonds A CapAXA Investment Managers
55
EUR57.110.00-8.05.76.2
333[+]AXA World Funds Euro Credit Short Duration I Cap EURAXA Investment Managers
58
EUR134.280.00-10.8-3.6-2.6
334[+]AXA World Funds Euro Government Bonds AAXA Investment Managers
57
EUR132.090.00-7.47.88.3
335[+]AXA World Funds Euro Inflation Bonds I CapAXA Investment Managers
56
EUR129.710.00-9.5-4.9-3.8
336[+]AXA World Funds Framlington American Growth A USDAXA Investment Managers
102
USD227.810.0029.060.0113.4
337[+]AXA World Funds Framlington Emerging Markets A EURAXA Investment Managers
102
EUR110.190.00-2.3-0.9-3.8
338[+]AXA World Funds Framlington Europe Emerging A Cap EURAXA Investment Managers
152
EUR113.160.00-15.2-17.7-24.6
339[+]AXA World Funds Framlington Europe Small Cap A Cap EURAXA Investment Managers
88
EUR144.600.0019.162.978.8
340[+]AXA World Funds Framlington Global Real Estate Securities A Cap EURAXA Investment Managers
109
EUR129.040.009.526.659.9
341[+]AXA World Funds Framlington Global Small Cap A Cap EURAXA Investment Managers
83
EUR167.180.0024.5n/an/a
342[+]AXA World Funds Framlington Health A Cap USDAXA Investment Managers
106
USD239.160.0037.396.9161.5
343[+]AXA World Funds Framlington Human Capital A EURAXA Investment Managers
90
EUR139.830.007.143.946.5
344[+]AXA World Funds Framlington Talents Global A Cap EURAXA Investment Managers
85
EUR375.400.0016.354.946.7
345[+]AXA World Funds Global Aggregate Bonds A Cap EURAXA Investment Managers
58
EUR30.250.00-10.5-10.6-1.3
346[+]AXA World Funds Global Emerging Markets Bonds F Cap USDAXA Investment Managers
66
USD265.410.006.96.027.6
347[+]AXA World Funds Global High Yield Bonds A Cap USDAXA Investment Managers
25
USD119.410.008.320.542.8
348[+]AXA World Funds Global Inflation Bonds A EURAXA Investment Managers
46
EUR143.650.00-8.4-7.74.1
349[+]AXA World Funds Global Strategic Bonds A Cap USDAXA Investment Managers
16
USD114.070.007.510.8n/a
350[+]AXA World Funds II Continental European Opportunities Equities A DisAXA Investment Managers
95
EUR10.890.0011.844.254.2
351[+]AXA World Funds II Far East Equities A Dis JPYAXA Investment Managers
93
JPY347.500.002.621.421.5
352[+]AXA World Funds II Global Masters Equities A DisAXA Investment Managers
85
USD5.470.009.731.662.5
353[+]AXA World Funds II North American Equities A DisAXA Investment Managers
92
USD14.510.0015.854.695.6
354[+]AXA World Funds Optimal Income A Cap EURAXA Investment Managers
59
EUR184.140.00-2.112.615.8
355[+]AXA World Funds Universal Inflation Bonds A Cap USDAXA Investment Managers
34
USD94.42n/a-0.9-5.8n/a
356[+]AXA World Funds US High Yield Bonds A Cap USDAXA Investment Managers
28
USD148.49n/a7.417.441.0
357[+]Axiom Obligataire CAxiom Alternative Investments
65
EUR1,786.87n/a-14.125.1-2.2
358[+]Axxion Nowinta Primus GlobalAxxion S.A
83
EUR10.21n/a1.821.221.9
359[+]Baillie Gifford Worldwide Japanese B USDBaillie Gifford & Co (IRL)
117
USD9.94n/an/an/an/a
360[+]Barclays Adventurous Growth Portfolio USD A IncBarclays
81
USD11.050.0011.330.3n/a
361[+]Barclays Asian Real Estate Income A SGDBarclays Funds and Advisory
n/a
SGD0.36n/an/an/an/a
362[+]Barclays Capital ComBATS K JPYBarclays
77
JPY9,537.14n/a-7.7-37.2n/a
363[+]Barclays Dynamic Tracker 70 A GBPBarclays
52
GBP1.28n/a4.719.431.6
364[+]Barclays Dynamic Tracker 80 A GBPBarclays
42
GBP1.16n/a3.612.017.6
365[+]Barclays Dynamic Tracker 90 A GBPBarclays
19
GBP1.07n/a0.73.04.2
366[+]Barclays Dynamic Tracker GBPBarclays
52
GBP1.57n/a5.221.341.7
367[+]Barclays Equity Euro ABarclays
108
EUR19.640.009.158.649.5
368[+]Barclays Euro Convertible Bond ABarclays
59
EUR15.160.00-1.016.18.8
369[+]Barclays Global Access Global Government Bond Z Acc USDBarclays
67
USD1.150.0010.59.811.8
370[+]Barclays GlobalAccess Emerging Markets Debt A Acc USDBarclays
68
USD1.330.046.22.6n/a
371[+]Barclays GlobalAccess Europe Ex UK Alpha A Acc EURBarclays
97
EUR2.190.018.251.945.4
372[+]Barclays GlobalAccess Global Equity Income B Acc USDBarclays
76
USD2.240.039.731.9n/a
373[+]Barclays GlobalAccess Global High Yield Bond A Acc USDBarclays
65
USD1.470.057.216.7n/a
374[+]Barclays GlobalAccess Global Inflation Linked Bond A Acc USDBarclays
74
USD1.360.0010.72.2n/a
375[+]Barclays GlobalAccess Global Property Securities A Dis USDBarclays
89
USD1.420.0210.4n/an/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 Pence Sterling (GBX).

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.