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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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For Sale In

Fund performance league table: 1364 funds

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1364 funds
Rank ChartFund Group Focus FE Risk Score What is FE Risk Score?Currency BidOffer1y 3y 5y  
526[+]L&G Jupiter Distribution G21Legal & General Assurance Soc
26
GBX136.15136.153.014.325.6
527[+]L&G Jupiter High Income G21Legal & General Assurance Soc
70
GBX160.34160.343.527.149.0
528[+]L&G Jupiter Merlin Balanced Portfolio G21Legal & General Assurance Soc
54
GBX144.25144.252.919.032.4
529[+]L&G Jupiter Merlin Conservative Portfolio G21Legal & General Assurance Soc
n/a
GBX100.61100.61-0.9n/an/a
530[+]L&G Jupiter Merlin Growth Portfolio G21Legal & General Assurance Soc
63
GBX180.67180.673.020.935.6
531[+]L&G Jupiter Merlin Income Portfolio G21Legal & General Assurance Soc
41
GBX159.55159.55-0.710.422.8
532[+]L&G Managed G1 AccLegal & General Assurance Soc
45
GBX2,362.502,486.801.720.733.5
533[+]L&G Mixed Investment 0-35% G21Legal & General Assurance Soc
26
GBX1,186.601,186.60-1.39.714.9
534[+]L&G Mixed investment 20-60% G21Legal & General Assurance Soc
n/a
GBX994.30994.30n/an/an/a
535[+]L&G Mixed Investment 40-85% G21Legal & General Assurance Soc
50
GBX1,267.801,267.80-2.212.825.6
536[+]L&G Mixed Managed G1 AccLegal & General Assurance Soc
34
GBX223.50235.302.017.231.9
537[+]L&G Money Builder Investec Guaranteed G21Legal & General Assurance Soc
23
GBX1,199.801,199.80-3.41.26.2
538[+]L&G Multi-Index 3 G21Legal & General Assurance Soc
n/a
GBX1,034.501,034.501.9n/an/a
539[+]L&G Multi-Index 4 G21Legal & General Assurance Soc
n/a
GBX1,035.101,035.101.7n/an/a
540[+]L&G Multi-Index 5 G21Legal & General Assurance Soc
n/a
GBX1,056.801,056.801.3n/an/a
541[+]L&G Multi-Index 6 G21Legal & General Assurance Soc
n/a
GBX1,037.501,037.500.0n/an/a
542[+]L&G Multi-Index 7 G21Legal & General Assurance Soc
n/a
GBX1,001.201,001.20-1.7n/an/a
543[+]L&G MultiManager Balanced G21Legal & General Assurance Soc
68
GBX113.98113.98-4.65.410.0
544[+]L&G MultiManager Growth G21Legal & General Assurance Soc
71
GBX105.76105.76-4.45.87.9
545[+]L&G MultiManager Income G21Legal & General Assurance Soc
56
GBX124.75124.75-4.24.810.8
546[+]L&G Neptune Balanced G21Legal & General Assurance Soc
67
GBX147.48147.48-1.412.626.0
547[+]L&G Newton Managed Income G21Legal & General Assurance Soc
n/a
GBX99.3299.32-3.1n/an/a
548[+]L&G Newton Multi Asset Balanced G21Legal & General Assurance Soc
48
GBX159.19159.19-0.211.923.5
549[+]L&G Newton Multi Asset Growth G21Legal & General Assurance Soc
62
GBX160.96160.964.428.746.5
550[+]L&G Newton Real Return G21Legal & General Assurance Soc
32
GBX104.58104.58-0.93.6n/a
551[+]L&G Schroder MM Diversity G21Legal & General Assurance Soc
26
GBX127.26127.26-0.311.020.6
552[+]L&G Schroder Multi Manager Diversity Tactical G21Legal & General Assurance Soc
33
GBX132.81132.815.828.040.1
553[+]L&G Standard Life Global Absolute Return Strategies G21Legal & General Assurance Soc
30
GBX121.42121.421.59.915.3
554[+]L&G Threadneedle Equity & Bond G21Legal & General Assurance Soc
38
GBX165.75165.750.914.727.5
555[+]L&G Threadneedle Global Equity & Bond G21Legal & General Assurance Soc
54
GBX172.88172.880.920.736.4
556[+]LGII Distribution G26 AccLegal & General Intl Limited
45
GBX1,360.501,360.502.522.740.8
557[+]LGII Managed G26 AccLegal & General Intl Limited
51
GBX1,391.501,391.501.525.141.9
558[+]LGIM DiversifiedLegal & General Assurance Soc
45
GBX130.450.922.5n/a
559[+]Lloyds TSB ManagedLloyds TSB Life
49
GBX2,443.902,443.900.119.936.8
560[+]Lloyds TSB Managed Invest S1Lloyds TSB Life
49
GBX1,406.401,480.40-0.119.035.1
561[+]London Life Managed (Ultima) AccLondon Life
53
GBX359.40378.401.723.240.7
562[+]London Life Mixed AccLondon Life
64
GBX1,562.801,562.801.628.648.6
563[+]LV= FGB Balanced S2LV=
6
GBX154.809.928.940.5
564[+]LV= FGB Cautious S2LV=
4
GBX146.007.921.934.2
565[+]LV= FGB Managed GrowthLV=
7
GBX162.9011.634.747.0
566[+]LV= Managed LifeLV=
81
GBX291.50306.80-2.529.641.6
567[+]MetLife Aggressive Index PortfolioMetLife
68
GBX139.34-1.124.344.1
568[+]MetLife Aggressive Managed PortfolioMetLife
65
GBX134.983.032.253.2
569[+]MetLife Bal Mgd Secure Capital PflMetLife
58
GBX111.210.219.631.0
570[+]MetLife Balanced Index PortfolioMetLife
57
GBX140.64-0.422.240.7
571[+]MetLife Balanced Index Secure Capital PortfolioMetLife
71
GBX134.62-1.821.339.2
572[+]MetLife Balanced Managed PortfolioMetLife
56
GBX134.622.628.047.0
573[+]MetLife Benchmark CF Miton Special Situations Portfolio Net GBPMetLife
39
GBX118.81118.814.57.313.6
574[+]MetLife Benchmark Invesco Perpetual Distribution Net GBPMetLife
30
GBX151.30151.300.823.642.2
575[+]MetLife Benchmark Investec Cautious Managed Net GBPMetLife
39
GBX130.68130.68-3.010.027.7
576[+]MetLife Benchmark JPM Cautious Total Return NetMetLife
29
GBX115.55115.556.820.114.1
577[+]MetLife Benchmark Jupiter Merlin Balanced Portfolio Net GBPMetLife
60
GBX147.08147.083.823.740.5
578[+]MetLife Benchmark Jupiter Merlin Income Portfolio Net GBPMetLife
47
GBX142.22142.220.516.133.5
579[+]MetLife Benchmark Neptune Balanced NetMetLife
73
GBX138.31138.310.016.733.7
580[+]MetLife Benchmark Newton Managed NetMetLife
66
GBX157.54157.546.234.054.2
581[+]MetLife Cautious Index Portfolio 1MetLife
40
GBX140.271.117.433.7
582[+]MetLife Cautious Index Secure Capital PortfolioMetLife
41
GBX128.14-0.113.225.7
583[+]MetLife Cautious Managed Portfolio 1MetLife
41
GBX134.172.021.537.5
584[+]MetLife Cautious Managed Secure Capital PortfolioMetLife
42
GBX119.230.616.528.1
585[+]MetLife Conservative Index PortfolioMetLife
35
GBX139.271.515.230.4
586[+]MetLife Conservative Index Secure Capital PortfolioMetLife
43
GBX145.881.717.335.5
587[+]MetLife Conservative Managed PortfolioMetLife
35
GBX132.242.220.235.0
588[+]MetLife Constv Mgd Secure Cap PflMetLife
35
GBX120.931.216.527.9
589[+]MetLife Controlled RiskMetLife
29
GBX135.412.819.633.9
590[+]MetLife Def Mgd Secure Capital PflMetLife
27
GBX125.111.514.525.4
591[+]MetLife Defensive Index PortfolioMetLife
28
GBX137.241.911.725.1
592[+]MetLife Defensive Index Secure Capital PortfolioMetLife
28
GBX131.471.39.721.5
593[+]MetLife Defensive Managed PortfolioMetLife
27
GBX132.442.216.729.7
594[+]MetLife Invesco Perp DistributionMetLife
27
GBX151.88-0.121.737.3
595[+]MetLife Jupiter DistributionMetLife
23
GBX130.363.215.127.4
596[+]MetLife Managed Balanced Portfolio NetMetLife
58
GBX153.77153.772.126.647.7
597[+]MetLife Managed Cautious Portfolio NetMetLife
45
GBX145.63145.631.821.939.2
598[+]MetLife Managed Defensive Portfolio NetMetLife
29
GBX141.69141.692.918.935.0
599[+]MetLife Managed Growth Portfolio NetMetLife
67
GBX150.42150.422.523.343.7
600[+]MetLife Managed Wealth Portfolio FoundationMetLife
27
GBX109.971.1n/an/a

All prices in Pence Sterling (GBX) unless otherwise specified. Price performance figures are calculated on a bid price to bid price basis and shown in Sterling with net income (dividends) reinvested. Performance figures are shown in Sterling.

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.