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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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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 IMA, 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   £

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For Sale In

Fund performance league table: 8216 funds

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8216 funds
Rank ChartFund Group FE Risk Score What is FE Risk Score?FE Crown Rating What is FE Crown Rating?3y  
2176[+]Royal London Governed Retirement Income Portfolio 4 PnRoyal London Model Portfolio
38
SHn/a
2177[+]Royal London Governed Retirement Income Portfolio 3 PnRoyal London Model Portfolio
29
SHn/a
2178[+]Royal London Governed Retirement Income Portfolio 2 PnRoyal London Model Portfolio
27
SHn/a
2179[+]Royal London Governed Retirement Income Portfolio 1 PnRoyal London Model Portfolio
27
SHn/a
2180[+]Royal London Governed Portfolio 9 PnRoyal London Model Portfolio
47
US34.4
2181[+]Royal London Governed Portfolio 8 PnRoyal London Model Portfolio
71
US47.0
2182[+]Royal London Governed Portfolio 7 PnRoyal London Model Portfolio
83
US51.5
2183[+]Royal London Governed Portfolio 6 PnRoyal London Model Portfolio
34
US29.7
2184[+]Royal London Governed Portfolio 5 PnRoyal London Model Portfolio
56
US42.5
2185[+]Royal London Governed Portfolio 4 PnRoyal London Model Portfolio
68
US47.2
2186[+]Royal London Governed Portfolio 3 PnRoyal London Model Portfolio
22
US23.1
2187[+]Royal London Governed Portfolio 2 PnRoyal London Model Portfolio
43
US37.6
2188[+]Royal London Governed Portfolio 1 PnRoyal London Model Portfolio
55
US43.0
2189[+]Royal London Equity PnRoyal London Mut Ins Soc Ltd
118
46.4
2190[+]Royal London Deposit PnRoyal London Mut Ins Soc Ltd
1
-0.3
2191[+]Royal London ANL UK Equity PnRoyal London Mut Ins Soc Ltd
109
47.9
2192[+]Royal London ANL Newton Managed PnRoyal London Mut Ins Soc Ltd
68
29.0
2193[+]Royal London ANL Merrill Lynch Managed PnRoyal London Mut Ins Soc Ltd
88
41.3
2194[+]Royal London ANL Managed PnRoyal London Mut Ins Soc Ltd
74
44.5
2195[+]Royal London ANL International PnRoyal London Mut Ins Soc Ltd
101
60.0
2196[+]Royal London ANL Deposit PnRoyal London Mut Ins Soc Ltd
0
0.0
2197[+]Royal London (UF/In) UK Managed S1 PnRoyal London Mut Ins Soc Ltd
68
36.3
2198[+]Royal London (UF/In) UK Fx Int S1PnRoyal London Mut Ins Soc Ltd
38
10.5
2199[+]Royal London (UF/In) UK Equity S1 PnRoyal London Mut Ins Soc Ltd
106
54.1
2200[+]Royal London (UF/In) Money S1 PnRoyal London Mut Ins Soc Ltd
1
1.0
2201[+]Royal London (UF/As) World Growth S2 PnRoyal London Mut Ins Soc Ltd
99
60.1
2202[+]Royal London (UF/As) UK Managed S1 PnRoyal London Mut Ins Soc Ltd
74
37.1
2203[+]Royal London (UF/As) UK Fx Int S1PnRoyal London Mut Ins Soc Ltd
42
9.1
2204[+]Royal London (UF/As) UK Equity S1 PnRoyal London Mut Ins Soc Ltd
115
56.6
2205[+]Royal London (UF/As) UK Equity Income S2 PnRoyal London Mut Ins Soc Ltd
103
82.3
2206[+]Royal London (UF/As) UK Equity Growth S2 PnRoyal London Mut Ins Soc Ltd
107
49.2
2207[+]Royal London (UF/As) North America S2 PnRoyal London Mut Ins Soc Ltd
111
78.3
2208[+]Royal London (UF/As) Money Pn S1Royal London Mut Ins Soc Ltd
1
-1.0
2209[+]Royal London (UF/As) Managed S2 PnRoyal London Mut Ins Soc Ltd
73
54.1
2210[+]Royal London (UF/As) Index Linked Gilt S2 PnRoyal London Mut Ins Soc Ltd
62
17.8
2211[+]Royal London (UF/As) Fixed Interest S2 PnRoyal London Mut Ins Soc Ltd
36
9.1
2212[+]Royal London (UF/As) Far Eastern S2 PnRoyal London Mut Ins Soc Ltd
107
31.8
2213[+]Royal London (UF/As) European S2 PnRoyal London Mut Ins Soc Ltd
126
62.5
2214[+]Royal Liver UK Equity Pn S2Royal Liver Assurance
98
40.5
2215[+]Royal Liver Stakeholder Managed PnRoyal Liver Assurance
83
40.8
2216[+]Royal Liver Money Pn S2Royal Liver Assurance
2
-0.9
2217[+]Royal Liver Managed Pn S2Royal Liver Assurance
84
42.9
2218[+]Royal Liver International Equity Pn S2Royal Liver Assurance
97
54.5
2219[+]Royal Liver High Yield Pn S2Royal Liver Assurance
80
55.5
2220[+]Royal Liver Global Equity Pn S2Royal Liver Assurance
111
57.3
2221[+]Royal Liver Fixed Interest Pn S2Royal Liver Assurance
34
29.8
2222[+]RLP Worldwide PnRoyal London
99
61.5
2223[+]RLP US Specialist (JPMorgan US) PnRoyal London
126
83.4
2224[+]RLP US Core Plus (Fidelity American) PnRoyal London
126
63.4
2225[+]RLP UK Smaller Companies PnRoyal London
91
79.7
2226[+]RLP UK Small Cap Specialist (Investec UK Smaller Companies) PnRoyal London
114
83.2
2227[+]RLP UK Opportunities PnRoyal London
130
58.8
2228[+]RLP UK Mid Cap Specialist (Franklin UK Midcap) PnRoyal London
139
77.5
2229[+]RLP UK Mid Cap PnRoyal London
139
92.6
2230[+]RLP UK Income Specialist (Fidelity MoneyBuilder Dividend) PnRoyal London
87
53.8
2231[+]RLP UK Income Core Plus (Artemis Income) PnRoyal London
100
58.2
2232[+]RLP UK Government Bond PnRoyal London
39
7.9
2233[+]RLP UK Ethical PnRoyal London
120
53.8
2234[+]RLP UK Equity Specialist (Schroder UK Alpha Plus) PnRoyal London
122
65.6
2235[+]RLP UK Equity Specialist (Invesco Perpetual UK Growth) PnRoyal London
113
83.3
2236[+]RLP UK Equity Specialist (Artemis UK Special Situations) PnRoyal London
103
59.1
2237[+]RLP UK Equity PnRoyal London
107
50.6
2238[+]RLP UK Equity Core Plus (Schroder UK Equity) PnRoyal London
121
63.2
2239[+]RLP UK Equity Core Plus (Schroder Core UK Equity) PnRoyal London
125
45.2
2240[+]RLP UK Equity Core Plus (Close TEAMS UK Equities (2%)) PnRoyal London
117
41.4
2241[+]RLP UK Equity Core Plus (Close TEAMS UK Equities (1%)) PnRoyal London
107
44.4
2242[+]RLP UBS UK Equity PnRoyal London
104
45.2
2243[+]RLP UBS Managed Equity PnRoyal London
98
45.4
2244[+]RLP UBS Global Blend (50:50) PnRoyal London
111
54.1
2245[+]RLP UBS Global Blend (50:50) A PnRoyal London
111
57.6
2246[+]RLP UBS Global Allocation PnRoyal London
72
41.6
2247[+]RLP UBS Global Allocation A PnRoyal London
72
43.7
2248[+]RLP Towry Mixed Portfolio Pn ARoyal London
43
22.1
2249[+]RLP Towry Growth Portfolio Pn ARoyal London
58
28.2
2250[+]RLP Towry Defensive Portfolio Pn ARoyal London
51
17.0

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.

Key to codes

LC : Low correlation to benchmarks
SH : Fund with a short history
US : Fund in an unrated sector