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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 Crown Fund Rating

FE Crown Fund Rating

FE Crown Fund Ratings assign a rating to funds based on quant analysis of consistency, volatility and performance. Narrow your search by choosing to view only the highest rated funds.

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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   £

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For Sale In

Fund performance league table: 8141 funds

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8141 funds
Rank ChartFund Group Focus FE Risk Score What is FE Risk Score?Currency BidOffer1y 3y 5y  
3451[+]LV= Fidelity Global Special Situations Pn S2LVFS Ltd
104
GBX210.50221.6019.568.985.3
3452[+]LV= Fidelity Index Emerging Markets Pn S2LVFS Ltd
n/a
GBX93.5098.50n/an/an/a
3453[+]LV= Fidelity Index Europe ex UK Pn S2LVFS Ltd
n/a
GBX105.30110.90n/an/an/a
3454[+]LV= Fidelity Index Japan Pn S2LVFS Ltd
n/a
GBX107.20112.90n/an/an/a
3455[+]LV= Fidelity Index Pacific ex Japan Pn S2LVFS Ltd
n/a
GBX92.7097.60n/an/an/a
3456[+]LV= Fidelity Index UK Pn S2LVFS Ltd
n/a
GBX103.10108.60n/an/an/a
3457[+]LV= Fidelity Index US Pn S2LVFS Ltd
n/a
GBX98.50103.70n/an/an/a
3458[+]LV= Fidelity Index World Pn S2LVFS Ltd
n/a
GBX96.50101.60n/an/an/a
3459[+]LV= Fidelity MA Strategic Pn S2LVFS Ltd
42
GBX154.70162.808.924.938.9
3460[+]LV= Fidelity MoneyBuilder Dividend Pn S2LVFS Ltd
93
GBX176.20185.504.241.384.9
3461[+]LV= Fidelity Moneybuilder Income Pn S2LVFS Ltd
43
GBX160.50169.007.320.036.1
3462[+]LV= Fidelity Multi Asset Allocator Balanced Pn 2LVFS Ltd
43
GBX114.00120.007.018.3n/a
3463[+]LV= Fidelity Multi Asset Allocator Defensive Pn 2LVFS Ltd
31
GBX107.50113.207.212.9n/a
3464[+]LV= Fidelity Multi Asset Allocator Growth Pn 2LVFS Ltd
61
GBX119.70126.106.423.7n/a
3465[+]LV= Fidelity Multi Asset Open Growth Pn S2LVFS Ltd
54
GBX151.10159.103.622.242.6
3466[+]LV= Fidelity Multi Asset Open Strategic Pn S2LVFS Ltd
39
GBX134.20141.204.923.140.5
3467[+]LV= Fidelity Southeast Asia Pn S2LVFS Ltd
113
GBX164.80173.5015.232.948.0
3468[+]LV= Fidelity Special Situations Pn S2LVFS Ltd
81
GBX208.00219.0012.067.988.3
3469[+]LV= Fidelity Sterling Bond Pn S2LVFS Ltd
27
GBX159.60168.004.220.236.6
3470[+]LV= Fidelity Wealthbuilder Pn S2LVFS Ltd
78
GBX188.20198.2010.347.672.6
3471[+]LV= Flexible Guarantee Balanced Pn S2LVFS Ltd
n/a
GBX109.80n/an/an/a
3472[+]LV= Flexible Guarantee Cautious Pn S2LVFS Ltd
n/a
GBX108.70n/an/an/a
3473[+]LV= Flexible Guarantee Managed Growth Pn S2LVFS Ltd
n/a
GBX110.70n/an/an/a
3474[+]LV= FP Verbatim Portfolio 3 Pn S2LVFS Ltd
n/a
GBX93.3093.30n/an/an/a
3475[+]LV= FP Verbatim Portfolio 4 Pn S2LVFS Ltd
n/a
GBX93.9093.90n/an/an/a
3476[+]LV= FP Verbatim Portfolio 5 Pn S2LVFS Ltd
n/a
GBX91.7091.70n/an/an/a
3477[+]LV= FP Verbatim Portfolio 6 Pn S2LVFS Ltd
n/a
GBX90.1090.10n/an/an/a
3478[+]LV= FP Verbatim Portfolio 7 Pn S2LVFS Ltd
n/a
GBX92.5092.50n/an/an/a
3479[+]LV= Global Equity Tracker Pn S2LVFS Ltd
80
GBX196.60207.004.641.368.8
3480[+]LV= HC Stirling House Balanced Pn S2LVFS Ltd
41
GBX104.40109.905.8n/an/a
3481[+]LV= HC Stirling House Defensive Pn S2LVFS Ltd
31
GBX98.60103.801.0n/an/a
3482[+]LV= HC Stirling House Dynamic Pn S2LVFS Ltd
74
GBX104.40109.905.2n/an/a
3483[+]LV= HC Stirling House Growth Pn S2LVFS Ltd
57
GBX106.60112.305.5n/an/a
3484[+]LV= Henderson Sterling Bond PnLVFS Ltd
41
GBX129.20136.005.919.036.6
3485[+]LV= Henderson UK Property PnLVFS Ltd
15
GBX108.60114.3011.225.636.3
3486[+]LV= Invesco Perp Asian Pn S2LVFS Ltd
100
GBX184.90194.609.035.053.4
3487[+]LV= Invesco Perp Corporate Bond Pn S2LVFS Ltd
19
GBX170.60179.502.924.836.2
3488[+]LV= Invesco Perp Distribution Pn S2LVFS Ltd
35
GBX206.00216.902.932.957.0
3489[+]LV= Invesco Perp High Income Pn S2LVFS Ltd
80
GBX237.20249.709.752.0101.4
3490[+]LV= Invesco Perp Income Pn S2LVFS Ltd
78
GBX236.30248.709.852.5100.0
3491[+]LV= Invesco Perp Monthly Income Plus Pn S2LVFS Ltd
22
GBX213.80225.203.831.851.0
3492[+]LV= Invesco Perp UK Aggressive Pn S2LVFS Ltd
102
GBX221.20232.805.990.1120.2
3493[+]LV= Invesco Perp UK Smaller Companies Equity Pn S2LVFS Ltd
79
GBX268.30282.4016.177.7128.0
3494[+]LV= Invesco Perpetual Global Bond Pn S2LVFS Ltd
38
GBX108.90114.603.25.5n/a
3495[+]LV= Invesco Perpetual Hong Kong & China Pn S2LVFS Ltd
131
GBX133.90141.0021.0n/an/a
3496[+]LV= Investec Asia ex Japan Pn S2LVFS Ltd
107
GBX125.40132.0012.941.7n/a
3497[+]LV= Investec Cautious Managed Pn S2LVFS Ltd
40
GBX116.70122.802.919.2n/a
3498[+]LV= Investec Emerging Market Debt Pn S2LVFS Ltd
86
GBX66.4069.90-14.4-27.4n/a
3499[+]LV= Investec MAP Pn S2LVFS Ltd
n/a
GBX102.00107.407.3n/an/a
3500[+]LV= Investec Monthly High Income Pn S2LVFS Ltd
21
GBX114.60120.60-0.316.0n/a
3501[+]LV= Investec UK Smaller Companies Pn S2LVFS Ltd
80
GBX170.50179.502.675.3n/a
3502[+]LV= Japan Growth Pn S2LVFS Ltd
112
GBX153.70161.8019.243.646.1
3503[+]LV= Japanese Equity Tracker Pn S2LVFS Ltd
117
GBX156.50164.7017.946.250.4
3504[+]LV= JPM Cautious Managed Pn S2LVFS Ltd
39
GBX119.70126.008.522.717.1
3505[+]LV= JPM Europe Dynamic Ex UK Pn S2LVFS Ltd
106
GBX235.30247.703.876.397.7
3506[+]LV= JPM Natural Resources Pn S2LVFS Ltd
147
GBX79.8084.00-29.7-35.5-40.7
3507[+]LV= JPM New Europe Pn S2LVFS Ltd
162
GBX103.60109.10-20.0-15.8-19.1
3508[+]LV= Jupiter Ecology Pn S2LVFS Ltd
88
GBX164.90173.605.743.955.3
3509[+]LV= Jupiter Emerging European Opportunities Pn S2LVFS Ltd
174
GBX112.00117.90-19.9-19.9-29.7
3510[+]LV= Jupiter European Special Situations Pn S2LVFS Ltd
97
GBX164.30172.906.654.071.9
3511[+]LV= Jupiter Income Pn S2LVFS Ltd
85
GBX167.40176.203.334.363.8
3512[+]LV= Jupiter India Pn S2LVFS Ltd
158
GBX128.50135.2024.4n/an/a
3513[+]LV= Jupiter Japan Income Pn S2LVFS Ltd
110
GBX162.70171.2021.542.747.4
3514[+]LV= Jupiter Merlin Balanced Pn S2LVFS Ltd
67
GBX131.60138.509.733.050.3
3515[+]LV= Jupiter Merlin Conservative Portfolio Pn S2LVFS Ltd
32
GBX101.60106.903.5n/an/a
3516[+]LV= Jupiter Merlin Growth Portfolio Pn S2LVFS Ltd
77
GBX182.80192.4011.338.058.6
3517[+]LV= Jupiter Merlin Income Portfolio Pn S2LVFS Ltd
51
GBX163.20171.903.821.639.8
3518[+]LV= Jupiter Merlin Worldwide Pn S2LVFS Ltd
87
GBX145.30153.0010.832.548.2
3519[+]LV= Jupiter North American Income Pn S2LVFS Ltd
95
GBX204.20214.9012.349.392.9
3520[+]LV= Jupiter UK Growth Pn S2LVFS Ltd
97
GBX262.40276.2021.492.3138.0
3521[+]LV= L&G Dynamic Bond Trust Pn S2LVFS Ltd
20
GBX101.90107.30-1.0n/an/a
3522[+]LV= L&G Managed Monthly Income Trust Pn S2LVFS Ltd
39
GBX102.20107.605.1n/an/a
3523[+]LV= L&G Multi-Index 3 Pn S3LVFS Ltd
n/a
GBX99.10104.304.5n/an/a
3524[+]LV= L&G Multi-Index 4 Pn S3LVFS Ltd
n/a
GBX98.60103.70n/an/an/a
3525[+]LV= L&G Multi-Index 5 Pn S3LVFS Ltd
n/a
GBX106.40112.007.6n/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 unless otherwise specified.