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Choose a sector
Rank Sectorsort % Growth (1yr)sort
1 Absolute Return 8.4%
2 Asia Pacific Excluding Japan 28.8%
3 Asia Pacific Including Japan 31.5%
4 China/Greater China 28.2%
5 Europe Excluding UK 41.5%
6 Europe Including UK 35.8%
7 European Smaller Companies 36.9%
8 Flexible Investment 23.1%
9 Global 29.3%
10 Global Bonds 8.7%
11 Global Emerging Markets 22.5%
12 Global Equity Income 32.3%
13 Japan 44.6%
14 Japanese Smaller Companies 54.0%
15 Mixed Investment 0%-35% Shares 11.4%
16 Mixed Investment 20%-60% Shares 16.5%
17 Mixed Investment 40%-85% Shares 21.7%
18 Money Market 1.9%
19 North America 32.4%
20 North American Smaller Companies 36.8%
21 Not Yet Assigned 22.1%
22 Personal Pensions 22.5%
23 Property 10.1%
24 Protected 12.9%
25 Short Term Money Market 0.1%
26 Specialist 16.8%
27 Sterling Corporate Bond 12.1%
28 Sterling High Yield 15.6%
29 Sterling Strategic Bond 11.8%
30 Technology & Telecoms 23.3%
31 UK All Companies 33.3%
32 UK Equity & Bond Income 23.5%
33 UK Equity Income 32.6%
34 UK Gilts 2.0%
35 UK Index - Linked Gilts 5.9%
36 UK Smaller Companies 30.3%
37 Unclassified 18.2%