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You can restrict your search to funds which are domiciled in a specific country, which may have implications for their tax status.

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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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Investment Focus allows you to search for funds which invest in a specific industrial sector or sectors.

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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 Passive Fund Rating

FE Passive Fund Rating

FE’s way of measuring how successful funds have been in replicating their chosen benchmarks, based predominantly on tracking difference and tracking error. Funds are given between one and five Passive Crowns – five being the highest.

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All Replication Methods

Replication Method

A passive fund can have one of the following replication methods:

Full Replication: A fund that employs full replication will buy every stock or share in the underlying index in order to exactly mimic its makeup. This is theoretically the most reliable way to replicate an index, however it employs a large amount of trading and therefore can take a lot of time, effort and expense to achieve. Due to this it is most suited for large liquid markets which have a manageable amount of companies.

Partial/Sampling: A fund that employs this method of replication buy a representative sample of the index’s holdings, rather than all the constituents. This is well suited to indices which include a large number of holdings for instance the MSCI World or where some companies are too illiquid to hold. The advantages are that transaction costs are kept lower, however because the fund’s holdings will differ from the index, tracking error is likely to be higher.

Synthetic Replication: A fund that employs this method will aim to replicate the index through the use of derivatives. This is typically achieved through the purchase of a swap contract usually from an investment bank (the counterparty) who agrees to pay the return of the index to the fund. Theoretically this means the tracking error should be zero. The risk is that the counterparty may be unable to honour its contract and the fund fails. To counteract this some counterparties post collateral to minimise this risk.

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Benchmark

An index against which funds are compared.

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

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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

Fund size   £

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For Sale In

Fund performance league table: 3036 funds

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3036 funds
Rank ChartFund Group FE Risk Score What is FE Risk Score?FE Passive Fund Rating Currency Price 3y  
901[+]SSGA SPDR S&P International Mid CapSSgA Funds Management
n/a
USD27.1521.8
902[+]SSGA SPDR S&P Oil & Gas Exploration & ProductionSSgA Funds Management
n/a
USD26.25-48.7
903[+]SSGA SPDR S&P TelecomSSgA Funds Management
n/a
USD49.2516.8
904[+]SSGA SPDR S&P Small Cap Emerging Asia PacificSSgA Funds Management
n/a
USD40.24n/a
905[+]SSGA SPDR S&P TransportationSSgA Funds Management
n/a
USD39.8649.6
906[+]SSGA SPDR S&P US Consumer Discretionary Select Sector UCITS ETFState Street Global Advisors
n/a
USD20.90n/a
907[+]SSGA SPDR S&P UK Dividend Aristocrats UCITSState Street Global Advisors
92
GBP11.3616.5
908[+]SSGA SPDR S&P SemiconductorSSgA Funds Management
n/a
USD38.8380.4
909[+]SSGA SPDR S&P PharmaceuticalsSSgA Funds Management
n/a
USD41.9573.5
910[+]SSGA SPDR S&P Pan Asia Dividend Aristrocrats UCITS USDState Street Global Advisors
101
USD34.72n/a
911[+]SSGA SPDR S&P Regional BankingSSgA Funds Management
n/a
USD35.2933.3
912[+]SSGA SPDR S&P RussiaSSgA Funds Management
n/a
USD13.18-45.3
913[+]SSGA SPDR S&P RetailSSgA Funds Management
n/a
USD39.1531.0
914[+]SSGA SPDR S&P Emerging Markets DividendSSgA Funds Management
n/a
USD23.17-39.5
915[+]SSGA SPDR S&P Emerging MarketsSSgA Funds Management
n/a
USD48.43-17.6
916[+]SSGA SPDR S&P Emerging Markets Dividend UCITS USDState Street Global Advisors
132
USD11.73-40.8
917[+]SSGA SPDR S&P Emerging Middle East & AfricaSSgA Funds Management
n/a
USD47.82-20.3
918[+]SSGA SPDR S&P Emerging Markets Small CapSSgA Funds Management
n/a
USD35.00-15.3
919[+]SSGA SPDR S&P Emerging Latin AmericaSSgA Funds Management
n/a
USD33.77-47.8
920[+]SSGA SPDR S&P ChinaSSgA Funds Management
n/a
USD62.17-2.6
921[+]SSGA SPDR S&P Capital MarketsSSgA Funds Management
n/a
USD35.105.4
922[+]SSGA SPDR S&P DividendSSgA Funds Management
n/a
USD72.4545.5
923[+]SSGA SPDR S&P Emerging EuropeSSgA Funds Management
n/a
USD21.99-40.5
924[+]SSGA SPDR S&P Emerging Asia PacificSSgA Funds Management
n/a
USD67.12-1.2
925[+]SSGA SPDR S&P Euro Dividend Aristocrats UCITS EURState Street Global Advisors
87
EUR19.2816.0
926[+]SSGA SPDR S&P International Consumer Staples SectorSSgA Funds Management
n/a
USD40.6928.1
927[+]SSGA SPDR S&P International Consumer Discretionary SectorSSgA Funds Management
n/a
USD34.0124.4
928[+]SSGA SPDR S&P International DividendSSgA Funds Management
n/a
USD31.70-16.4
929[+]SSGA SPDR S&P International Financial SectorSSgA Funds Management
n/a
USD16.791.4
930[+]SSGA SPDR S&P International Energy SectorSSgA Funds Management
n/a
USD14.76-30.7
931[+]SSGA SPDR S&P InsuranceSSgA Funds Management
n/a
USD63.9650.8
932[+]SSGA SPDR S&P Global Dividend ETFSSgA Funds Management
n/a
USD54.76n/a
933[+]SSGA SPDR S&P Global Dividend Aristrocrats UCITS USDState Street Global Advisors
85
USD27.46n/a
934[+]SSGA SPDR S&P Global Infrastructure ETFSSgA Funds Management
n/a
USD41.3116.4
935[+]SSGA SPDR S&P HomebuildersSSgA Funds Management
n/a
USD29.0913.3
936[+]SSGA SPDR S&P Health Care EquipmentSSgA Funds Management
n/a
USD38.3956.4
937[+]Swiss Franc Daily Hedged CottonETF Securities
n/a
CHF7.62-28.7
938[+]Swiss Franc Daily Hedged CornETF Securities
n/a
CHF4.54-55.8
939[+]Swiss Franc Daily Hedged EnergyETF Securities
n/a
CHF3.06-70.5
940[+]Swiss Franc Daily Hedged GrainsETF Securities
n/a
CHF5.67-44.8
941[+]Swiss Franc Daily Hedged GoldETF Securities
n/a
CHF6.23-38.2
942[+]Swiss Franc Daily Hedged CopperETF Securities
n/a
CHF5.30-49.5
943[+]Swiss Franc Daily Hedged AluminiumETF Securities
n/a
CHF5.70-45.5
944[+]Swiss Franc Daily Hedged AgricultureETF Securities
n/a
CHF5.99-41.8
945[+]Swiss Franc Daily Hedged Brent CrudeETF Securities
n/a
CHF2.51-76.4
946[+]Swiss Franc Daily Hedged CoffeeETF Securities
n/a
CHF5.51-41.7
947[+]Swiss Franc Daily Hedged CocoaETF Securities
n/a
CHF10.768.0
948[+]Swiss Franc Daily Hedged Industrial MetalsETF Securities
n/a
CHF5.58-47.4
949[+]Swiss Franc Daily Hedged Precious MetalsETF Securities
n/a
CHF5.62-44.5
950[+]Swiss Franc Daily Hedged PlatinumETF Securities
n/a
CHF4.86-52.5
951[+]Swiss Franc Daily Hedged SilverETF Securities
n/a
CHF4.13-59.5
952[+]Swiss Franc Daily Hedged SoybeansETF Securities
n/a
CHF8.39-21.3
953[+]Swiss Franc Daily Hedged SoftsETF Securities
n/a
CHF5.72-43.4
954[+]Swiss Franc Daily Hedged NickelETF Securities
n/a
CHF4.33-60.0
955[+]Swiss Franc Daily Hedged Longer Dated AgricultureETF Securities
n/a
CHF6.00-41.7
956[+]Swiss Franc Daily Hedged LeadETF Securities
n/a
CHF6.90-37.1
957[+]Swiss Franc Daily Hedged Longer Dated All CommoditiesETF Securities
n/a
CHF5.39-47.9
958[+]Swiss Franc Daily Hedged Natural GasETF Securities
n/a
CHF3.28-66.9
959[+]Swiss Franc Daily Hedged Longer Dated EnergyETF Securities
n/a
CHF3.75-64.0
960[+]SSGA SPDR S&P US Technology Select Sector UCITS ETFState Street Global Advisors
n/a
USD19.72n/a
961[+]SSGA SPDR S&P US Materials Select Sector UCITS ETFState Street Global Advisors
n/a
USD17.27n/a
962[+]SSGA SPDR S&P US Utilities Select Sector UCITS ETFState Street Global Advisors
n/a
USD22.27n/a
963[+]SSgA SPDR S&P/ASX Australian BondState St Gbl Advisors Aus Ltd
n/a
AUD26.14n/a
964[+]SSGA SPDR S&P World ex-USSSgA Funds Management
n/a
USD23.758.6
965[+]SSGA SPDR S&P US Industrial Select Sector UCITS ETFState Street Global Advisors
n/a
USD18.89n/a
966[+]SSGA SPDR S&P US Dividend Aristocrats UCITS USDState Street Global Advisors
86
USD38.7043.1
967[+]SSGA SPDR S&P US Consumer Staples Select Sector UCITS ETFState Street Global Advisors
n/a
USD18.94n/a
968[+]SSGA SPDR S&P US Energy Select Sector UCITS ETFState Street Global Advisors
n/a
USD15.80n/a
969[+]SSGA SPDR S&P US Health Care Select Sector UCITS ETFState Street Global Advisors
n/a
USD17.70n/a
970[+]SSGA SPDR S&P US Financials Select Sector UCITS ETFState Street Global Advisors
n/a
USD17.45n/a
971[+]SSgA SPDR S&P/ASX Australian Government BondState St Gbl Advisors Aus Ltd
n/a
AUD25.95n/a
972[+]SSGA Tracker fund of Hong KongState Street Global Advisors Asia Ltd
n/a
HKD19.37-0.6
973[+]SSGA SPDR Wells Fargo Preferred StockSSgA Funds Management
n/a
USD44.4125.1
974[+]Swedbank Robur OMXS30Swedbank Robur
n/a
SEK179.29n/a
975[+]Swedbank Robur OMXS30 Bull 2Swedbank Robur
n/a
SEK283.26n/a

Price total return performance figures are calculated on a mid price to mid price basis. Performance figures are shown in Pound sterling (GBP) with gross income (dividends) reinvested.

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.