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FE Crown Fund Rating

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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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Additional information

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For Sale In

Fund performance league table: 8141 funds

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8141 funds
Rank ChartFund Group FE Risk Score What is FE Risk Score?FE Crown Rating What is FE Crown Rating?3y  
2176[+]Scot Eq Absolute Insight Emerging Markets Debt PnAegon/Scottish Equitable plc
17
4.9
2177[+]Scot Eq Aberdeen World Equity Income PnAegon/Scottish Equitable plc
83
3.7
2178[+]Scot Eq Aberdeen Multi Manager Diversified Alpha Portfolio PnAegon/Scottish Equitable plc
31
7.3
2179[+]Scot Eq Aberdeen Multi Manager Constellation Portfolio PnAegon/Scottish Equitable plc
82
40.2
2180[+]Scot Eq Aberdeen Multi Manager Cautious Managed Portfolio PnAegon/Scottish Equitable plc
52
23.0
2181[+]Scot Eq Aberdeen Emerging Markets Equity (Blend) PnAegon/Scottish Equitable plc
108
3.2
2182[+]Scot Eq Aberdeen Asia Pacific equity PnAegon/Scottish Equitable plc
83
11.0
2183[+]Scot Eq 80/20 Defensive Mgd Collection PnAegon/Scottish Equitable plc
36
18.6
2184[+]Scot Eq 80/20 Def Mgd Collec PnAegon/Scottish Equitable plc
36
18.6
2185[+]Scot Eq 70/30 Defensive Managed Collection PnAegon/Scottish Equitable plc
37
21.6
2186[+]Scot Eq 70/30 Defensive Managed Collection (ex MLC) PnAegon/Scottish Equitable plc
37
21.6
2187[+]Scot Eq 70/30 Core Portfolio Pn V1Aegon/Scottish Equitable plc
38
17.6
2188[+]Scot Eq 60/40 Core Portfolio Pn V1Aegon/Scottish Equitable plc
42
18.8
2189[+]Scot Eq 60/40 Cautious Mgd Collection PnAegon/Scottish Equitable plc
39
24.7
2190[+]Scot Eq 50/50 Core Portfolio Pn V1Aegon/Scottish Equitable plc
49
19.7
2191[+]Scot Eq 50/50 Cautious Managed Collection PnAegon/Scottish Equitable plc
44
27.9
2192[+]Scot Eq 50/50 Cautious Managed Collection (ex MLC Cautious) PnAegon/Scottish Equitable plc
44
27.9
2193[+]Scot Eq 50/50 Cautious Managed Collection (ex MLC Balanced) PnAegon/Scottish Equitable plc
44
27.9
2194[+]Scot Eq 40/60 Core Portfolio Pn V1Aegon/Scottish Equitable plc
56
20.3
2195[+]Scot Eq (exNT) BlackRock Aquila Consensus PnAegon/Scottish Equitable plc
65
31.0
2196[+]Scot Eq (exNT) BlackRock Aquila 50/50 Bond & Equity Index PnAegon/Scottish Equitable plc
54
28.5
2197[+]Scot Eq (ex Insight DTR) Blackrock Cautious Portfolio PnAegon/Scottish Equitable plc
37
7.5
2198[+]Save & Prosper Property PnCountrywide Assured Plc
44
NS26.9
2199[+]Save & Prosper Managed PnCountrywide Assured Plc
69
42.6
2200[+]Save & Prosper Equity PnCountrywide Assured Plc
87
48.3
2201[+]Royal London With Profits StakeHolder PnRLAM Ltd
7
39.6
2202[+]Royal London With Profits PnRLAM Ltd
7
40.8
2203[+]Royal London US Growth PnRLAM Ltd
107
73.7
2204[+]Royal London UK Income with Growth Pn S3RLAM Ltd
71
33.4
2205[+]Royal London UK Growth PnRLAM Ltd
98
45.1
2206[+]Royal London Sustainable Leaders PnRLAM Ltd
92
57.3
2207[+]Royal London Stakeholder UK Equity Tracker PnRoyal London Mut Ins Soc Ltd
92
33.2
2208[+]Royal London Stakeholder UK Equity PnRoyal London Mut Ins Soc Ltd
92
35.5
2209[+]Royal London Stakeholder Managed PnRoyal London Mut Ins Soc Ltd
62
32.8
2210[+]Royal London Stakeholder International PnRoyal London Mut Ins Soc Ltd
82
43.7
2211[+]Royal London Stakeholder Deposit PnRoyal London Mut Ins Soc Ltd
0
0.0
2212[+]Royal London Stakeholder Annuity Protected PnRoyal London Mut Ins Soc Ltd
55
8.2
2213[+]Royal London Select Portfolio (60%-100% Shares) PnRLAM Ltd
76
41.4
2214[+]Royal London Select Portfolio (40%-85% Shares) PnRLAM Ltd
65
37.0
2215[+]Royal London Select Portfolio (20%-60% Shares) PnRLAM Ltd
48
30.2
2216[+]Royal London Schroders UK Mid 250 PnRLAM Ltd
103
78.7
2217[+]Royal London Schroders UK Alpha Plus PnRLAM Ltd
102
47.5
2218[+]Royal London Schroders Recovery PnRLAM Ltd
97
69.6
2219[+]Royal London Schroders Income PnRLAM Ltd
98
56.9
2220[+]Royal London Schroders Global Properties Securities PnRLAM Ltd
96
18.7
2221[+]Royal London Schroders Gilt & Fixed Interest PnRLAM Ltd
50
2.4
2222[+]Royal London Schroders Active UK Equity PnRLAM Ltd
89
45.2
2223[+]Royal London Schroders Active UK Bond PnRLAM Ltd
46
3.1
2224[+]Royal London Schroders Active Managed PnRLAM Ltd
66
35.7
2225[+]Royal London Schroders Active Global Equity PnRLAM Ltd
81
47.5
2226[+]Royal London Passive 60/40 Global Equity PnRLAM Ltd
79
PT39.2
2227[+]Royal London Open Portfolio (60%-100% Shares) PnRLAM Ltd
75
33.0
2228[+]Royal London Open Portfolio (40%-85% Shares) PnRLAM Ltd
64
28.5
2229[+]Royal London Open Portfolio (20%-60% Shares) PnRLAM Ltd
46
23.1
2230[+]Royal London Mixed PnRoyal London Mut Ins Soc Ltd
84
39.6
2231[+]Royal London Mgd Stakeholder PnRoyal London Mut Ins Soc Ltd
62
32.0
2232[+]Royal London JPM UK Strategic Growth PnRLAM Ltd
98
48.6
2233[+]Royal London JPM Japan PnRLAM Ltd
116
61.7
2234[+]Royal London JPM Global High Yield Bond PnRLAM Ltd
36
15.1
2235[+]Royal London JPM Europe Smaller Companies PnRLAM Ltd
117
63.1
2236[+]Royal London Invesco Perpetual Latin America PnRLAM Ltd
152
-24.8
2237[+]Royal London Invesco Perpetual Income PnRLAM Ltd
79
45.0
2238[+]Royal London Invesco Perpetual High Yield PnRLAM Ltd
23
36.4
2239[+]Royal London International PnRoyal London Mut Ins Soc Ltd
88
54.9
2240[+]Royal London Henderson World Select PnRLAM Ltd
96
41.5
2241[+]Royal London Henderson US Growth PnRLAM Ltd
106
51.6
2242[+]Royal London Henderson Sterling Bond PnRLAM Ltd
46
13.6
2243[+]Royal London Henderson China Opportunities PnRLAM Ltd
136
55.7
2244[+]Royal London Governed Retirement Income Portfolio 5 PnRoyal London Model Portfolio
49
SHn/a
2245[+]Royal London Governed Retirement Income Portfolio 4 PnRoyal London Model Portfolio
36
SHn/a
2246[+]Royal London Governed Retirement Income Portfolio 3 PnRoyal London Model Portfolio
31
SHn/a
2247[+]Royal London Governed Retirement Income Portfolio 2 PnRoyal London Model Portfolio
30
SHn/a
2248[+]Royal London Governed Retirement Income Portfolio 1 PnRoyal London Model Portfolio
31
SHn/a
2249[+]Royal London Governed Portfolio 9 PnRoyal London Model Portfolio
41
US26.7
2250[+]Royal London Governed Portfolio 8 PnRoyal London Model Portfolio
61
US37.0

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
PT : Passive fund