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Fund name
Aberdeen American Growth  
Fidelity American  
Schroder UK Mid 250  
M&G Recovery  
Jupiter Merlin UK Growth  
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8128 funds
Rank ChartFund Group Focus FE Risk Score What is FE Risk Score?Curr BidOffer1y 3y 5y  
3601[+]chartLV= Fidelity Multi Asset Allocator Balanced Pn 2LVFS LtdMixed Asset
44
GBX108.70114.405.6n/an/aadd to basket
3602[+]chartLV= Fidelity Multi Asset Allocator Defensive Pn 2LVFS LtdMixed Asset
29
GBX102.50107.904.7n/an/aadd to basket
3603[+]chartLV= Fidelity Multi Asset Allocator Growth Pn 2LVFS LtdMixed Asset
63
GBX114.30120.406.2n/an/aadd to basket
3604[+]chartLV= Fidelity Multi Asset Open Growth Pn S2LVFS LtdMixed Asset
61
GBX148.00155.805.630.349.6add to basket
3605[+]chartLV= Fidelity Multi Asset Open Strategic Pn S2LVFS LtdMixed Asset
44
GBX129.80136.606.627.5n/aadd to basket
3606[+]chartLV= Fidelity Southeast Asia Pn S2LVFS LtdEquity
116
GBX149.30157.3011.724.058.7add to basket
3607[+]chartLV= Fidelity Special Situations Pn S2LVFS LtdEquity
104
GBX187.40197.305.576.563.1add to basket
3608[+]chartLV= Fidelity Sterling Bond Pn S2LVFS LtdFixed Interest
28
GBX156.70164.909.425.845.6add to basket
3609[+]chartLV= Fidelity Wealthbuilder Pn S2LVFS LtdEquity
88
GBX172.50181.6010.552.767.3add to basket
3610[+]chartLV= Global Equity Tracker Pn S2LVFS LtdEquity
91
GBX189.10199.2010.852.066.5add to basket
3611[+]chartLV= HC Stirling House Balanced Pn S2LVFS LtdMixed Asset
n/a
GBX100.90106.308.4n/an/aadd to basket
3612[+]chartLV= HC Stirling House Defensive Pn S2LVFS LtdMixed Asset
n/a
GBX100.10105.406.7n/an/aadd to basket
3613[+]chartLV= HC Stirling House Dynamic Pn S2LVFS LtdMixed Asset
n/a
GBX100.80106.10n/an/an/aadd to basket
3614[+]chartLV= HC Stirling House Growth Pn S2LVFS LtdMixed Asset
n/a
GBX103.00108.50n/an/an/aadd to basket
3615[+]chartLV= Henderson Cirilium Balanced Pn S2LVFS LtdMixed Asset
39
GBX121.20127.506.6n/an/aadd to basket
3616[+]chartLV= Henderson Sterling Bond PnLVFS LtdFixed Interest
38
GBX126.50133.207.822.157.3add to basket
3617[+]chartLV= Henderson UK Property PnLVFS LtdProperty
17
GBX99.50104.8011.016.444.2add to basket
3618[+]chartLV= Invesco Perp Asian Pn S2LVFS LtdEquity
107
GBX180.40189.9017.436.671.6add to basket
3619[+]chartLV= Invesco Perp Corporate Bond Pn S2LVFS LtdFixed Interest
24
GBX167.70176.507.028.945.4add to basket
3620[+]chartLV= Invesco Perp Distribution Pn S2LVFS LtdMixed Asset
38
GBX201.10211.707.844.470.3add to basket
3621[+]chartLV= Invesco Perp High Income Pn S2LVFS LtdEquity
84
GBX216.00227.4012.463.393.2add to basket
3622[+]chartLV= Invesco Perp Income Pn S2LVFS LtdEquity
83
GBX215.70227.1012.863.592.2add to basket
3623[+]chartLV= Invesco Perp Monthly Income Plus Pn S2LVFS LtdMixed Asset
30
GBX207.10218.007.839.069.1add to basket
3624[+]chartLV= Invesco Perp UK Aggressive Pn S2LVFS LtdEquity
118
GBX207.90218.8014.3101.5117.0add to basket
3625[+]chartLV= Invesco Perp UK Smaller Companies Equity Pn S2LVFS LtdEquity
103
GBX230.80242.9012.572.5120.9add to basket
3626[+]chartLV= Invesco Perpetual Global Bond Pn S2LVFS LtdFixed Interest
38
GBX108.10113.70-1.110.3n/aadd to basket
3627[+]chartLV= Invesco Perpetual Hong Kong & China Pn S2LVFS LtdEquity
117
GBX118.20124.4014.4n/an/aadd to basket
3628[+]chartLV= Investec Asia ex Japan Pn S2LVFS LtdEquity
110
GBX117.30123.5017.539.5n/aadd to basket
3629[+]chartLV= Investec Cautious Managed Pn S2LVFS LtdMixed Asset
42
GBX114.80120.801.6n/an/aadd to basket
3630[+]chartLV= Investec Emerging Market Debt Pn S2LVFS LtdFixed Interest
95
GBX79.1083.30-5.3-16.3n/aadd to basket
3631[+]chartLV= Investec MAP Pn S2LVFS LtdMixed Asset
n/a
GBX97.40102.50n/an/an/aadd to basket
3632[+]chartLV= Investec Monthly High Income Pn S2LVFS LtdFixed Interest
29
GBX114.90121.006.526.0n/aadd to basket
3633[+]chartLV= Investec UK Smaller Companies Pn S2LVFS LtdEquity
111
GBX166.70175.5023.491.6n/aadd to basket
3634[+]chartLV= Japan Growth Pn S2LVFS LtdEquity
132
GBX131.30138.201.526.126.9add to basket
3635[+]chartLV= Japanese Equity Tracker Pn S2LVFS LtdEquity
131
GBX134.20141.302.733.728.7add to basket
3636[+]chartLV= JPM Cautious Managed Pn S2LVFS LtdMixed Asset
42
GBX111.70117.609.24.111.9add to basket
3637[+]chartLV= JPM Europe Dynamic Ex UK Pn S2LVFS LtdEquity
143
GBX218.20229.8014.569.375.0add to basket
3638[+]chartLV= JPM Global Consumer Trends Pn S2LVFS LtdEquity
93
GBX118.90125.2010.6n/an/aadd to basket
3639[+]chartLV= JPM Natural Resources Pn S2LVFS LtdCommodity/Energy
154
GBX114.20120.104.9-28.53.1add to basket
3640[+]chartLV= JPM New Europe Pn S2LVFS LtdEquity
180
GBX126.20132.80-7.80.220.5add to basket
3641[+]chartLV= Jupiter Ecology Pn S2LVFS LtdEquity
100
GBX156.40164.508.644.853.3add to basket
3642[+]chartLV= Jupiter Emerging European Opportunities Pn S2LVFS LtdEquity
177
GBX135.90143.00-7.2-8.33.3add to basket
3643[+]chartLV= Jupiter European Special Situations Pn S2LVFS LtdEquity
130
GBX150.10158.004.148.056.4add to basket
3644[+]chartLV= Jupiter Income Pn S2LVFS LtdEquity
91
GBX161.70170.209.849.056.5add to basket
3645[+]chartLV= Jupiter India Pn S2LVFS LtdEquity
187
GBX106.70112.2060.7n/an/aadd to basket
3646[+]chartLV= Jupiter Japan Income Pn S2LVFS LtdEquity
130
GBX133.10140.100.322.427.0add to basket
3647[+]chartLV= Jupiter Merlin Balanced Pn S2LVFS LtdMixed Asset
73
GBX121.90128.406.834.8n/aadd to basket
3648[+]chartLV= Jupiter Merlin Conservative Portfolio Pn S2LVFS LtdMixed Asset
35
GBX99.30104.503.9n/an/aadd to basket
3649[+]chartLV= Jupiter Merlin Growth Portfolio Pn S2LVFS LtdMixed Asset
85
GBX166.80175.608.036.861.2add to basket
3650[+]chartLV= Jupiter Merlin Income Portfolio Pn S2LVFS LtdMixed Asset
55
GBX158.80167.205.330.451.2add to basket
3651[+]chartLV= Jupiter Merlin Worldwide Pn S2LVFS LtdEquity
98
GBX133.00140.006.731.7n/aadd to basket
3652[+]chartLV= Jupiter North American Income Pn S2LVFS LtdEquity
95
GBX188.50198.4011.771.197.8add to basket
3653[+]chartLV= Jupiter UK Growth Pn S2LVFS LtdEquity
128
GBX221.10232.7011.486.7100.3add to basket
3654[+]chartLV= L&G Dynamic Bond Trust Pn S2LVFS LtdFixed Interest
n/a
GBX103.10108.508.2n/an/aadd to basket
3655[+]chartLV= L&G Managed Monthly Income Trust Pn S2LVFS LtdFixed Interest
n/a
GBX101.00106.30n/an/an/aadd to basket
3656[+]chartLV= L&G Multi-Index 3 Pn S3LVFS LtdMixed Asset
n/a
GBX95.00100.00n/an/an/aadd to basket
3657[+]chartLV= L&G Multi-Index 4 Pn S3LVFS LtdMixed Asset
n/a
GBX94.1099.00n/an/an/aadd to basket
3658[+]chartLV= L&G Multi-Index 5 Pn S3LVFS LtdMixed Asset
n/a
GBX101.00106.40n/an/an/aadd to basket
3659[+]chartLV= L&G Multi-Index 6 Pn S3LVFS LtdMixed Asset
n/a
GBX100.00105.20n/an/an/aadd to basket
3660[+]chartLV= L&G Multi-Index 7 Pn S3LVFS LtdMixed Asset
n/a
GBX97.60102.70n/an/an/aadd to basket
3661[+]chartLV= L&G UK Alpha Trust Pn S2LVFS LtdEquity
n/a
GBX119.40125.8024.0n/an/aadd to basket
3662[+]chartLV= L&G UK Property Pn S2LVFS LtdProperty
18
GBX110.00115.8012.4n/an/aadd to basket
3663[+]chartLV= Liontrust Income Pn S2LVFS LtdEquity
102
GBX144.80152.407.252.7n/aadd to basket
3664[+]chartLV= Liontrust UK Growth Pn S2LVFS LtdEquity
91
GBX226.60238.508.853.0111.6add to basket
3665[+]chartLV= Liontrust UK Smaller Companies Pn S2LVFS LtdEquity
62
GBX268.10282.2017.888.3176.7add to basket
3666[+]chartLV= M&G American Pn S2LVFS LtdEquity
115
GBX200.30210.7011.169.785.5add to basket
3667[+]chartLV= M&G Corporate Bond Pn S2LVFS LtdFixed Interest
38
GBX159.40167.708.825.346.6add to basket
3668[+]chartLV= M&G Global Basics Pn S2LVFS LtdEquity
98
GBX170.00178.900.57.539.2add to basket
3669[+]chartLV= M&G Global Dividend Pn S2LVFS LtdEquity
97
GBX124.00130.5010.9n/an/aadd to basket
3670[+]chartLV= M&G Optimal Income Pn S2LVFS LtdFixed Interest
24
GBX150.40158.308.734.557.5add to basket
3671[+]chartLV= M&G Property Portfolio Pn S2LVFS LtdProperty
19
GBX124.20130.8012.118.6n/aadd to basket
3672[+]chartLV= M&G Recovery Pn S2LVFS LtdEquity
104
GBX197.50207.803.531.752.7add to basket
3673[+]chartLV= M&G Strategic Corporate Bond Pn S2LVFS LtdFixed Interest
36
GBX104.90110.509.5n/an/aadd to basket
3674[+]chartLV= Managed Portfolio 3 Pn S2LVFS LtdMixed Asset
38
GBX117.30123.505.121.6n/aadd to basket
3675[+]chartLV= Managed Portfolio 4 Pn S2LVFS LtdMixed Asset
55
GBX161.80170.307.534.649.1add to basket
3676[+]chartLV= Managed Portfolio 5 Pn S2LVFS LtdMixed Asset
64
GBX164.60173.407.435.549.4add to basket
3677[+]chartLV= Managed Portfolio 6 Pn S2LVFS LtdMixed Asset
77
GBX175.50184.708.540.456.6add to basket
3678[+]chartLV= Managed Portfolio 7 Pn S2LVFS LtdMixed Asset
87
GBX182.50192.208.142.059.4add to basket
3679[+]chartLV= Martin Currie Asia Pacific Pn S2LVFS LtdEquity
106
GBX178.70188.108.826.655.1add to basket
3680[+]chartLV= Martin Currie Global Equity Income Pn S2LVFS LtdEquity
88
GBX179.80189.305.548.766.9add to basket
3681[+]chartLV= Martin Currie North America Pn S2LVFS LtdEquity
105
GBX186.70196.6015.470.086.1add to basket
3682[+]chartLV= Newton Balanced Pn S2LVFS LtdMixed Asset
65
GBX145.10152.604.825.739.8add to basket
3683[+]chartLV= Newton Continental European Pn S2LVFS LtdEquity
126
GBX156.70164.907.449.434.3add to basket
3684[+]chartLV= Newton Higher Income Pn S2LVFS LtdEquity
91
GBX156.00164.209.152.857.7add to basket
3685[+]chartLV= Newton International Bond Pn S2LVFS LtdFixed Interest
49
GBX100.60105.90-1.9-1.814.3add to basket
3686[+]chartLV= Newton Oriental Pn S2LVFS LtdEquity
108
GBX173.80182.907.511.545.8add to basket
3687[+]chartLV= Newton Pheonix Multi Asset Pn S2LVFS LtdMixed Asset
41
GBX141.90149.407.821.442.3add to basket
3688[+]chartLV= Newton UK Opportunities Pn S2LVFS LtdEquity
104
GBX175.60184.9013.458.581.2add to basket
3689[+]chartLV= North American Equity Tracker Pn S2LVFS LtdEquity
103
GBX210.90222.0016.575.9103.8add to basket
3690[+]chartLV= Optimum Enterprise Pn S2LVFS LtdMixed Asset
39
GBX106.40111.904.7n/an/aadd to basket
3691[+]chartLV= Optimum Global Income Pn S2LVFS LtdMixed Asset
48
GBX112.20118.208.0n/an/aadd to basket
3692[+]chartLV= Optimum High Alpha Pn S2LVFS LtdMixed Asset
79
GBX116.50122.709.8n/an/aadd to basket
3693[+]chartLV= Optimum Strategic Income Pn S2LVFS LtdMixed Asset
15
GBX97.00102.201.6n/an/aadd to basket
3694[+]chartLV= Pacific Growth Pn S2LVFS LtdEquity
107
GBX163.10171.8016.328.755.5add to basket
3695[+]chartLV= RNPFN Managed Growth PnLV=Fixed Interest
67
GBP4.084.306.139.056.6add to basket
3696[+]chartLV= Schroder All Maturites Corporate Bond Pn S2LVFS LtdFixed Interest
35
GBX126.10132.708.622.032.6add to basket
3697[+]chartLV= Schroder Asian Income Maximiser Pn S2LVFS LtdEquity
76
GBX114.10120.108.7n/an/aadd to basket
3698[+]chartLV= Schroder Dynamic Multi Asset Pn S2LVFS LtdMixed Asset
52
GBX113.60119.609.5n/an/aadd to basket
3699[+]chartLV= Schroder European Alpha Plus Pn S2LVFS LtdEquity
141
GBX150.50158.30-0.136.246.7add to basket
3700[+]chartLV= Schroder Global Climate Change Pn S2LVFS LtdEquity
115
GBX148.60156.407.245.749.9add to basket
3701[+]chartLV= Schroder Global Emerging Markets Pn S2LVFS LtdEquity
120
GBX140.00147.3012.023.642.9add to basket
3702[+]chartLV= Schroder Global Equity Income Pn S2LVFS LtdEquity
100
GBX174.90184.2011.954.873.3add to basket
3703[+]chartLV= Schroder Global Property Income Maximiser Pn S2LVFS LtdProperty
87
GBX107.40113.007.6n/an/aadd to basket
3704[+]chartLV= Schroder Global Property Securities Pn S2LVFS LtdProperty
106
GBX189.10199.108.437.367.6add to basket
3705[+]chartLV= Schroder Income Maximiser Pn S2LVFS LtdEquity
94
GBX186.80196.709.168.062.3add to basket
3706[+]chartLV= Schroder Income Pn S2LVFS LtdEquity
108
GBX159.60167.9011.981.2n/aadd to basket
3707[+]chartLV= Schroder Managed Monthly H Inc Pn S2LVFS LtdMixed Asset
16
GBX95.40100.401.2n/an/aadd to basket
3708[+]chartLV= Schroder MM Cautious Managed Distribution Portfolio Pn S2LVFS LtdMixed Asset
40
GBX134.20141.303.712.827.2add to basket
3709[+]chartLV= Schroder MM Diversity Balanced Pn S2LVFS LtdMixed Asset
46
GBX118.50124.705.6n/an/aadd to basket
3710[+]chartLV= Schroder MM Diversity Income Pn S2LVFS LtdMixed Asset
33
GBX111.10117.005.0n/an/aadd to basket
3711[+]chartLV= Schroder MM Diversity Pn S2LVFS LtdMixed Asset
30
GBX110.20115.902.4n/an/aadd to basket
3712[+]chartLV= Schroder MM Diversity Tactical Pn S2LVFS LtdMixed Asset
45
GBX109.80115.605.0n/an/aadd to basket
3713[+]chartLV= Schroder MM International Pn S2LVFS LtdEquity
82
GBX132.20139.2010.1n/an/aadd to basket
3714[+]chartLV= Schroder MM UK Growth Pn S2LVFS LtdEquity
n/a
GBX111.80117.609.3n/an/aadd to basket
3715[+]chartLV= Schroder Tokyo Pn S2LVFS LtdEquity
123
GBX155.60163.803.736.143.0add to basket
3716[+]chartLV= Schroder UK Alpha Plus Pn S2LVFS LtdEquity
111
GBX263.70277.608.267.388.6add to basket
3717[+]chartLV= Schroder UK Mid 250 Pn S2LVFS LtdEquity
130
GBX234.80247.2011.799.5109.5add to basket
3718[+]chartLV= Schroder US Mid Cap Pn S2LVFS LtdEquity
109
GBX210.70221.8012.974.4101.6add to basket
3719[+]chartLV= Sentinel Defensive Portfolio Pn S2LVFS LtdMixed Asset
14
GBX131.80138.805.119.231.4add to basket
3720[+]chartLV= Sentinel Enterprise Portfolio Pn S2LVFS LtdEquity
89
GBX145.50153.3011.022.937.7add to basket
3721[+]chartLV= Sentinel Universal Portfolio Pn S2LVFS LtdMixed Asset
57
GBX149.70157.607.233.148.1add to basket
3722[+]chartLV= Sterling Corporate Bond All Stocks Index Pn S2LVFS LtdFixed Interest
37
GBX116.20122.308.7n/an/aadd to basket
3723[+]chartLV= Sterling Liquidity Pn S2LVFS LtdMoney Market
2
GBX95.40100.400.3n/an/aadd to basket
3724[+]chartLV= Threadneedle Absolute Return Bond PnLVFS LtdFixed Interest
30
GBX97.40102.50-0.23.9n/aadd to basket
3725[+]chartLV= Threadneedle American PnLVFS LtdEquity
120
GBX161.30169.9018.878.2n/aadd to basket
3726[+]chartLV= Threadneedle Balanced Managed PnLVFS LtdMixed Asset
72
GBX116.60122.706.8n/an/aadd to basket
3727[+]chartLV= Threadneedle China Opportunities PnLVFS LtdEquity
149
GBX130.50137.4018.539.7n/aadd to basket
3728[+]chartLV= Threadneedle Defensive Equity & Bond Pn 2LVFS LtdMixed Asset
38
GBX111.10116.906.3n/an/aadd to basket
3729[+]chartLV= Threadneedle European Select Pn 2LVFS LtdEquity
118
GBX128.40135.204.1n/an/aadd to basket
3730[+]chartLV= Threadneedle European Smaller Cos PnLVFS LtdEquity
119
GBX149.70157.603.653.9n/aadd to basket
3731[+]chartLV= Threadneedle Global Emerging Market Equity PnLVFS LtdEquity
112
GBX115.50121.5013.627.2n/aadd to basket
3732[+]chartLV= Threadneedle Global Equity Income Pn 2LVFS LtdEquity
95
GBX127.60134.308.1n/an/aadd to basket
3733[+]chartLV= Threadneedle High Yield Bond PnLVFS LtdFixed Interest
38
GBX124.10129.509.334.0n/aadd to basket
3734[+]chartLV= Threadneedle Latin American PnLVFS LtdEquity
162
GBX92.5097.3013.23.8n/aadd to basket
3735[+]chartLV= Threadneedle UK Equity Alpha Income PnLVFS LtdEquity
107
GBX162.00170.4012.074.9n/aadd to basket
3736[+]chartLV= Threadneedle UK Equity Income Pn 2LVFS LtdEquity
103
GBX137.00144.2012.9n/an/aadd to basket
3737[+]chartLV= Threadneedle UK Fixed Interest PnLVFS LtdFixed Interest
44
GBX100.40105.706.6n/an/aadd to basket
3738[+]chartLV= Threadneedle UK Index Linked PnLVFS LtdFixed Interest
63
GBX105.00110.509.5n/an/aadd to basket
3739[+]chartLV= Threadneedle UK Money Market Pn S2LVFS LtdMoney Market
1
GBX97.20102.300.11.01.9add to basket
3740[+]chartLV= Threadneedle UK Property Trust Pn S2LVFS LtdProperty
24
GBX105.70111.3012.214.0n/aadd to basket
3741[+]chartLV= Threadneedle Worldwide Select Pn S2LVFS LtdMixed Asset
82
GBX156.00164.307.936.550.0add to basket
3742[+]chartLV= TM Levitas A Pn S2LVFS LtdMixed Asset
n/a
GBX95.00100.00n/an/an/aadd to basket
3743[+]chartLV= TM Levitas B Pn S2LVFS LtdMixed Asset
n/a
GBX95.00100.00n/an/an/aadd to basket
3744[+]chartLV= UK Conventional Gilt All Stock Index Pn S2LVFS LtdFixed Interest
41
GBX124.40130.906.913.2n/aadd to basket
3745[+]chartLV= UK Corporate Bond Pn S2LVFS LtdFixed Interest
34
GBX176.70185.909.128.653.5add to basket
3746[+]chartLV= UK Equity Income Pn S2LVFS LtdEquity
100
GBX175.10184.3013.169.3n/aadd to basket
3747[+]chartLV= UK Equity Tracker Pn S2LVFS LtdEquity
98
GBX164.00172.609.850.369.1add to basket
3748[+]chartLV= UK Fixed Interest Pn S2LVFS LtdFixed Interest
44
GBX125.20131.806.814.030.8add to basket
3749[+]chartLV= UK Growth Pn S2LVFS LtdEquity
107
GBX165.20174.0013.962.3n/aadd to basket
3750[+]chartLV= UK Index Linked Pn S2LVFS LtdFixed Interest
64
GBX148.50156.209.622.948.1add to basket
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.
 
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