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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 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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For Sale In

Fund performance league table: 8020 funds

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8020 funds
Rank ChartFund Group FE Risk Score What is FE Risk Score?FE Crown Rating What is FE Crown Rating?3y  
2176[+]Scot Eq Aegon 75/25 Equity & Bond Index Lifestyle Pn (ARC)Aegon/Scottish Equitable plc
66
SHn/a
2177[+]Scot Eq Aegon 50/50 Global Equity Index Lifestyle Pn (ARC)Aegon/Scottish Equitable plc
78
SHn/a
2178[+]Scot Eq Aegon 50/50 Bond & Equity Index Lifestyle Pn (ARC)Aegon/Scottish Equitable plc
52
SHn/a
2179[+]Scot Eq Adventurous Select Portfolio PnAegon/Scottish Equitable plc
79
34.7
2180[+]Scot Eq Adventurous Core Portfolio PnAegon/Scottish Equitable plc
82
SHn/a
2181[+]Scot Eq Adventurous Core Lifestyle Portfolio PnAegon/Scottish Equitable plc
81
SHn/a
2182[+]Scot Eq Active Cash PnAegon/Scottish Equitable plc
0
SHn/a
2183[+]Scot Eq Absolute Return Select Portfolio PnAegon/Scottish Equitable plc
15
7.9
2184[+]Scot Eq Absolute Return (ex Cautious) Select Portfolio PnAegon/Scottish Equitable plc
15
7.9
2185[+]Scot Eq Absolute Insight Equity Market Neutral PnAegon/Scottish Equitable plc
9
4.6
2186[+]Scot Eq Absolute Insight Emerging Markets Debt PnAegon/Scottish Equitable plc
17
8.0
2187[+]Scot Eq Aberdeen World Equity Income PnAegon/Scottish Equitable plc
85
10.3
2188[+]Scot Eq Aberdeen Multi Manager Diversified Alpha Portfolio PnAegon/Scottish Equitable plc
29
6.4
2189[+]Scot Eq Aberdeen Multi Manager Constellation Portfolio PnAegon/Scottish Equitable plc
77
39.3
2190[+]Scot Eq Aberdeen Multi Manager Cautious Managed Portfolio PnAegon/Scottish Equitable plc
50
23.8
2191[+]Scot Eq Aberdeen Emerging Markets Equity (Blend) PnAegon/Scottish Equitable plc
107
8.5
2192[+]Scot Eq Aberdeen Asia Pacific equity PnAegon/Scottish Equitable plc
78
18.6
2193[+]Scot Eq 80/20 Defensive Mgd Collection PnAegon/Scottish Equitable plc
34
26.6
2194[+]Scot Eq 80/20 Def Mgd Collec PnAegon/Scottish Equitable plc
34
26.6
2195[+]Scot Eq 70/30 Defensive Managed Collection PnAegon/Scottish Equitable plc
33
28.6
2196[+]Scot Eq 70/30 Defensive Managed Collection (ex MLC) PnAegon/Scottish Equitable plc
33
28.6
2197[+]Scot Eq 70/30 Core Portfolio Pn V1Aegon/Scottish Equitable plc
36
24.6
2198[+]Scot Eq 60/40 Core Portfolio Pn V1Aegon/Scottish Equitable plc
40
24.6
2199[+]Scot Eq 60/40 Cautious Mgd Collection PnAegon/Scottish Equitable plc
36
30.5
2200[+]Scot Eq 50/50 Core Portfolio Pn V1Aegon/Scottish Equitable plc
47
24.2
2201[+]Scot Eq 50/50 Cautious Managed Collection PnAegon/Scottish Equitable plc
41
32.6
2202[+]Scot Eq 50/50 Cautious Managed Collection (ex MLC Cautious) PnAegon/Scottish Equitable plc
41
32.6
2203[+]Scot Eq 50/50 Cautious Managed Collection (ex MLC Balanced) PnAegon/Scottish Equitable plc
41
32.6
2204[+]Scot Eq 40/60 Core Portfolio Pn V1Aegon/Scottish Equitable plc
55
23.9
2205[+]Scot Eq (exNT) BlackRock Aquila Consensus PnAegon/Scottish Equitable plc
63
33.8
2206[+]Scot Eq (exNT) BlackRock Aquila 50/50 Bond & Equity Index PnAegon/Scottish Equitable plc
52
39.4
2207[+]Scot Eq (ex Insight DTR) Blackrock Cautious Portfolio PnAegon/Scottish Equitable plc
35
8.6
2208[+]Schroders US Small & Mid Cap PnRLUM (CIS) Ltd
86
59.4
2209[+]Schroders UK Mid 250 PnRLUM (CIS) Ltd
104
66.3
2210[+]Schroders UK Alpha Plus PnRLUM (CIS) Ltd
101
43.2
2211[+]Schroders Recovery PnRLUM (CIS) Ltd
95
68.0
2212[+]Schroders Income PnRLUM (CIS) Ltd
99
59.8
2213[+]Schroders Global Properties Securities PnRLUM (CIS) Ltd
91
38.2
2214[+]Schroders Gilt & Fixed Interest PnRLUM (CIS) Ltd
48
11.5
2215[+]Schroders Active UK Equity PnRLUM (CIS) Ltd
87
45.0
2216[+]Schroders Active UK Bond PnRLUM (CIS) Ltd
46
12.5
2217[+]Schroders Active Managed PnRLUM (CIS) Ltd
62
36.4
2218[+]Schroders Active Global Equity PnRLUM (CIS) Ltd
79
48.1
2219[+]Save & Prosper Property PnCountrywide Assured Plc
31
NS20.8
2220[+]Save & Prosper Managed PnCountrywide Assured Plc
67
43.8
2221[+]Save & Prosper Equity PnCountrywide Assured Plc
86
48.4
2222[+]Royal London Stakeholder UK Equity Tracker PnRoyal London Mut Ins Soc Ltd
96
31.4
2223[+]Royal London Stakeholder UK Equity PnRoyal London Mut Ins Soc Ltd
95
33.1
2224[+]Royal London Stakeholder Managed PnRoyal London Mut Ins Soc Ltd
62
33.1
2225[+]Royal London Stakeholder International PnRoyal London Mut Ins Soc Ltd
81
43.5
2226[+]Royal London Stakeholder Deposit PnRoyal London Mut Ins Soc Ltd
0
0.0
2227[+]Royal London Stakeholder Annuity Protected PnRoyal London Mut Ins Soc Ltd
55
18.7
2228[+]Royal London Mixed PnRoyal London Mut Ins Soc Ltd
83
33.3
2229[+]Royal London Mgd Stakeholder PnRoyal London Mut Ins Soc Ltd
62
31.2
2230[+]Royal London International PnRoyal London Mut Ins Soc Ltd
77
48.7
2231[+]Royal London Governed Retirement Income Portfolio 5 PnRoyal London Model Portfolio
48
SHn/a
2232[+]Royal London Governed Retirement Income Portfolio 4 PnRoyal London Model Portfolio
33
SHn/a
2233[+]Royal London Governed Retirement Income Portfolio 3 PnRoyal London Model Portfolio
28
SHn/a
2234[+]Royal London Governed Retirement Income Portfolio 2 PnRoyal London Model Portfolio
28
SHn/a
2235[+]Royal London Governed Retirement Income Portfolio 1 PnRoyal London Model Portfolio
31
SHn/a
2236[+]Royal London Governed Portfolio 9 PnRoyal London Model Portfolio
40
US27.2
2237[+]Royal London Governed Portfolio 8 PnRoyal London Model Portfolio
61
US38.2
2238[+]Royal London Governed Portfolio 7 PnRoyal London Model Portfolio
71
US40.6
2239[+]Royal London Governed Portfolio 6 PnRoyal London Model Portfolio
29
US25.2
2240[+]Royal London Governed Portfolio 5 PnRoyal London Model Portfolio
49
US35.2
2241[+]Royal London Governed Portfolio 4 PnRoyal London Model Portfolio
59
US37.6
2242[+]Royal London Governed Portfolio 3 PnRoyal London Model Portfolio
19
US19.7
2243[+]Royal London Governed Portfolio 2 PnRoyal London Model Portfolio
39
US33.5
2244[+]Royal London Governed Portfolio 1 PnRoyal London Model Portfolio
49
US38.0
2245[+]Royal London Equity PnRoyal London Mut Ins Soc Ltd
100
32.9
2246[+]Royal London Deposit PnRoyal London Mut Ins Soc Ltd
0
-0.4
2247[+]Royal London ANL UK Equity PnRoyal London Mut Ins Soc Ltd
95
32.5
2248[+]Royal London ANL Newton Managed PnRoyal London Mut Ins Soc Ltd
58
27.0
2249[+]Royal London ANL Merrill Lynch Managed PnRoyal London Mut Ins Soc Ltd
72
29.2
2250[+]Royal London ANL Managed PnRoyal London Mut Ins Soc Ltd
62
33.8

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