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Fund name

Domicile

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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Geographies

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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Management Groups

Select a specific management group, or groups, to narrow your search to funds managed by individual asset management businesses.

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Investment Focus

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

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Asset Class

You can choose to view funds which invest only in a specific asset class or asset classes, allowing you to focus on a broad swathe of funds which invest specifically in equities, bonds, or commodities – for example.

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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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  £

Period

Additional information

Fund size   £

Launch date     

For Sale In

Fund performance league table: 2885 funds

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2885 funds
Rank ChartFund Group FE Risk Score What is FE Risk Score?FE Passive Fund Rating Currency Price 3y  
1126[+]WisdomTree SmallCap DividendWisdomTree Asset Management
n/a
USD70.2961.2
1127[+]WisdomTree Global Natural ResourcesWisdomTree Asset Management
n/a
USD17.22-23.6
1128[+]ETFS Short NZD Long EUR AccETF Securities
99
EUR33.37-21.9
1129[+]ETFS Long NZD Short EUR AccETF Securities
70
EUR64.3516.7
1130[+]ETFS Long USD Short EUR AccETF Securities
51
EUR52.6215.2
1131[+]ComStage HSCEI UCITS ETFCommerzbank AG
n/a
HKD158.2241.3
1132[+]ETFS Short USD Long EUR AccETF Securities
101
EUR41.61-19.8
1133[+]ETFS Long AUD Short EUR AccETF Securities
68
EUR55.79-5.0
1134[+]WisdomTree Global ex-US UtilitiesWisdomTree Asset Management
n/a
USD18.8215.3
1135[+]ETFS Short AUD Long EUR AccETF Securities
107
EUR38.74-3.9
1136[+]ETFS Short CAD Long EUR AccETF Securities
100
EUR46.94-3.8
1137[+]ETFS Long CAD Short EUR AccETF Securities
50
EUR46.53-4.3
1138[+]WisdomTree Dreyfus Indian RupeeWisdomTree Asset Management
n/a
USD21.050.4
1139[+]ETFS 3x Daily Long Euro STOXX 50ETF Securities
n/a
EUR15.43n/a
1140[+]ETFS 3x Daily Short DAX 30ETF Securities
n/a
EUR4.22n/a
1141[+]ETFS 3x Daily Short Euro STOXX 50ETF Securities
n/a
EUR4.39n/a
1142[+]Amundi ETF Short US Treasury 7-10 DailyAmundi Asset Management
n/a
USD74.63-7.6
1143[+]Amundi ETF Govt Bond Lowest Rated EuroMTS Investment GradeAmundi Asset Management
48
EUR223.2139.6
1144[+]ETFS Short INR Long USDETF Securities
77
USD40.76-13.6
1145[+]ETFS Long INR Short USDETF Securities
69
USD45.01-4.4
1146[+]ETFS Long CNY Short USDETF Securities
50
USD52.372.4
1147[+]ETFS 3x Daily Long DAX 30ETF Securities
n/a
EUR16.55n/a
1148[+]ISEQ 20 UCITS ETFInvestec Investment Services Ireland Limited
n/a
EUR12.4998.8
1149[+]Amundi ETF US Treasury 1-3 DailyAmundi Asset Management
51
USD167.321.3
1150[+]WisdomTree Dreyfus Chinese YuanWisdomTree Asset Management
n/a
USD25.586.4
1151[+]Deka MSCI China UCITS ETFDeka ETFs
n/a
HKD83.4248.2
1152[+]WisdomTree Dreyfus Brazilian RealWisdomTree Asset Management
n/a
USD15.53-20.6
1153[+]WisdomTree Australia New Zealand DebtWisdomTree Asset Management
n/a
USD18.61-9.6
1154[+]WisdomTree Dreyfus Emerging CurrencyWisdomTree Asset Management
n/a
USD18.72-10.5
1155[+]Amundi ETF US Treasury 7-10 DailyAmundi Asset Management
64
USD245.366.9
1156[+]Amundi ETF US Treasury 3-7 DailyAmundi Asset Management
54
USD200.783.7
1157[+]ETFS ETFS 3x Daily Long FTSE 100ETF Securities
n/a
GBP1,182.29n/a
1158[+]Amundi ETF Euro Stoxx Small Cap EURAmundi Asset Management
111
EUR39.4159.7
1159[+]ETFS 3x Daily Short FTSE 100ETF Securities
n/a
GBP708.54n/a
1160[+]ComStage HSI UCITS ETFCommerzbank AG
n/a
HKD309.9343.5
1161[+]iShares Core MSCI Emerging Markets IMI UCITS ETF USDiShares
n/a
USD25.80n/a
1162[+]SSgA Europe SPDR Euro STOXX Low Volatility UCITS ETF NAV EURSSgA European
n/a
EUR31.96n/a
1163[+]iShares CSI Consumer Staples Index ABlackRock Ast Mgt Nth Asia Ltd
n/a
HKD24.1722.0
1164[+]Market Vectors Emerging Markets Local Currency BondVan Eck Global
n/a
USD20.39-9.7
1165[+]iShares CSI Consumer Discretionary Index ABlackRock Ast Mgt Nth Asia Ltd
n/a
HKD29.58106.9
1166[+]Lyxor UCITS ETF Daily Double Short 10Y Japan Government Bonds C GBPLyxor Asset Mgt
n/a
GBX5,343.00n/a
1167[+]ETFS Physical Swiss GoldETF Securities
114
EUR103.14-17.3
1168[+]Lyxor UCITS ETF Lyxor Daily Double Short 10Y UK Gilts CLyxor Asset Mgt
n/a
GBP73.34n/a
1169[+]ETFS-E Fund MSCI China A GO UCITS ETF USDETF Securities
n/a
USD21.53n/a
1170[+]Lyxor UCITS ETF Lyxor Daily Double Short 10Y US Treasury C GBPLyxor Asset Mgt
n/a
GBX5,652.50n/a
1171[+]ETFS US Energy Infrastructure MLP GO UCITS ETF USDETF Securities
n/a
USD9.72n/a
1172[+]ETFS Short CAD Long EURETF Securities
n/a
EUR46.94n/a
1173[+]ETFS Short AUD Long EURETF Securities
n/a
EUR38.74n/a
1174[+]ETFS Short NZD Long EURETF Securities
n/a
EUR33.37n/a
1175[+]ProShares Short VIX Short-Term Futures ETFUS ProShares
n/a
USD78.16232.9
1176[+]ETFS Short USD Long EURETF Securities
n/a
EUR41.61n/a
1177[+]ETFS Long AUD Short EURETF Securities
n/a
EUR55.79n/a
1178[+]Fundlogic Global Equity Factors UCITS USDFundlogic Alternatives plc
n/a
USD107.25n/a
1179[+]ETFS Long CAD Short EURETF Securities
n/a
EUR46.53n/a
1180[+]ETFS Long USD Short EURETF Securities
n/a
EUR52.62n/a
1181[+]ETFS Long NZD Short EURETF Securities
n/a
EUR64.35n/a
1182[+]Global X FTSE Portugal 20 ETFGlobal X Funds
n/a
USD12.37n/a
1183[+]ishares US Equity Buyback Achievers GBXLSE ETFs
n/a
GBX347.40n/a
1184[+]Deka MSCI Emerging Markets UCITS ETFDeka ETFs
n/a
USD41.836.0
1185[+]iShares MSCI Emerging Markets Minimum Volatility UCITS ETF GBPLSE ETFs
99
GBX1,903.00n/a
1186[+]DB Commodity BoosterDB ETC Plc
104
USD77.38-38.9
1187[+]DB X-Trackers MSCI Indonesia Index UCITS ETF 1C USDDB Platinum Advisors ETF
151
USD13.51-10.4
1188[+]ComStage iBOXX € Germany Covered Capped Overall TR UCITS ETFCommerzbank AG
n/a
EUR200.528.9
1189[+]UBS ETF (CH) - CMCI Oil SF (EUR) A DisUBS AG
n/a
EUR36.98-40.4
1190[+]ComStage FR DAX® UCITS ETFCommerzbank AG
n/a
EUR58.5876.7
1191[+]ishares Euro Corporate Bond BBB-BB UCITS ETF GBPLSE ETFs
n/a
GBX372.00n/a
1192[+]ComStage FR EURO STOXX 50® UCITS ETFCommerzbank AG
n/a
EUR36.4684.4
1193[+]DB WTI Crude Oil BoosterDB ETC Plc
180
USD62.53-49.8
1194[+]HSBC MSCI Europe EURHSBC Asset Management (IRL)
111
EUR13.7665.4
1195[+]DB Physical SilverDB ETC Plc
183
USD157.08-49.3
1196[+]Source S&P 500 VIX FuturesSource Investment Mgmt Ltd
430
USD5.53-91.4
1197[+]iShares MSCI Emerging Markets Eastern Europe IndexBlackRock Fund Advisors
n/a
USD19.91-19.5
1198[+]iShares Dow Jones U.S. Pharmaceuticals IndexBlackRock Fund Advisors
n/a
USD168.05109.3
1199[+]DB S&P GSCIDB ETC Plc
120
USD78.22-38.9
1200[+]DB Natural Gas BoosterDB ETC Plc
236
USD25.54-26.5

Price total return performance figures are calculated on a mid price to mid price basis. Performance figures are shown in fund’s native currency unless otherwise specified 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