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Performance

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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 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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Fund performance league table: 636 funds

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636 funds
Rank ChartFund Group Focus FE Risk Score What is FE Risk Score?BidOfferYield 1y 3y 5y  
   IA UNCLASSIFIED PERFORMANCE      15.424.241.9 
1[+]Aberdeen Diversified Core Adventurous I AccAberdeen Fund Managers Limited
74
117.302.4021.5n/an/a
2[+]Aberdeen Diversified Core Cautious I AccAberdeen Fund Managers Limited
37
110.661.9011.1n/an/a
3[+]Aberdeen Diversified Core Conservative I AccAberdeen Fund Managers Limited
9
102.870.802.7n/an/a
4[+]Aberdeen Diversified Core Growth I AccAberdeen Fund Managers Limited
54
113.732.3016.3n/an/a
5[+]Aberdeen Diversified Growth I AccAberdeen Fund Managers Limited
35
127.612.6011.223.4n/a
6[+]Aberdeen Sterling Bond I AccAberdeen Fund Managers Limited
43
121.711.306.319.8n/a
7[+]Aberdeen Sterling Government Bond I AccAberdeen Fund Managers Limited
50
180.680.605.019.120.0
8[+]Aberdeen Sterling Index-Linked Bond I AccAberdeen Fund Managers Limited
97
207.730.0018.942.547.7
9[+]Aberdeen Sterling Short Term Government Bond I AccAberdeen Fund Managers Limited
9
102.220.000.52.9n/a
10[+]Architas Birthstar TD 2015 20 R AccArchitas Multi-Manager Ltd
49
120.100.6614.6n/an/a
11[+]Architas Birthstar TD 2021 25 R AccArchitas Multi-Manager Ltd
65
127.200.6619.3n/an/a
12[+]Architas Birthstar TD 2026 30 R AccArchitas Multi-Manager Ltd
70
127.600.9121.2n/an/a
13[+]Architas Birthstar TD 2031 35 R AccArchitas Multi-Manager Ltd
76
128.601.0423.1n/an/a
14[+]Architas Birthstar TD 2036 40 R AccArchitas Multi-Manager Ltd
87
130.501.0726.6n/an/a
15[+]Architas Birthstar TD 2041 45 R AccArchitas Multi-Manager Ltd
91
130.301.1327.4n/an/a
16[+]Architas Birthstar TD 2046 50 R AccArchitas Multi-Manager Ltd
91
130.701.1327.4n/an/a
17[+]Architas Diversified Global Income A AccArchitas Multi-Manager Ltd
35
109.104.8911.7n/an/a
18[+]Architas Diversified Real Assets D AccArchitas Multi-Manager Ltd
19
113.002.719.8n/an/a
19[+]Architas MA Active Reserve A AccArchitas Multi-Manager Ltd
20
126.301.966.816.927.0
20[+]Architas MA Blended Growth A AccArchitas Multi-Manager Ltd
79
157.900.9723.637.956.2
21[+]Architas MA Blended Intermediate A AccArchitas Multi-Manager Ltd
52
147.001.2717.729.549.0
22[+]Architas MA Blended Moderate A AccArchitas Multi-Manager Ltd
44
140.801.3515.826.644.8
23[+]Architas MA Blended Progressive A AccArchitas Multi-Manager Ltd
65
154.001.2221.333.955.5
24[+]Architas MA Blended Reserve A AccArchitas Multi-Manager Ltd
37
129.601.8311.620.733.2
25[+]Architas MA Passive Dynamic A AccArchitas Multi-Manager Ltd
90
151.601.1227.641.549.2
26[+]Architas MA Passive Growth A AccArchitas Multi-Manager Ltd
83
158.800.9425.943.158.2
27[+]Architas MA Passive Intermediate A AccArchitas Multi-Manager Ltd
54
146.901.1117.734.448.3
28[+]Architas MA Passive Moderate A AccArchitas Multi-Manager Ltd
50
142.301.0615.131.945.1
29[+]Architas MA Passive Progressive A AccArchitas Multi-Manager Ltd
67
154.201.0521.439.555.1
30[+]Architas MA Passive Prudent A AccArchitas Multi-Manager Ltd
39
132.300.8011.126.431.9
31[+]Architas MA Passive Reserve A AccArchitas Multi-Manager Ltd
47
137.301.0512.530.039.9
32[+]Architas Multi-Manager Diversified Protector 70 Net AccArchitas Multi-Manager Ltd
50
122.630.0013.314.022.4
33[+]Architas Multi-Manager Diversified Protector 80 Net AccArchitas Multi-Manager Ltd
33
114.260.008.37.713.0
34[+]Architas Multi-Manager Diversified Protector 85Architas Multi-Manager Ltd
24
107.020.005.74.55.8
35[+]Aubrey Collective ConvictionAubrey Capital Management Ltd
54
158.400.009.713.941.9
36[+]Baillie Gifford Active Gilt Plus B IncBaillie Gifford
55
167.000.905.121.823.6
37[+]Baillie Gifford Active Long Gilt Plus B IncBaillie Gifford
97
156.901.6010.043.047.1
38[+]Baring Dynamic Capital Growth I IncBaring Asset Management Limited
52
276.402.0011.217.0n/a
39[+]Baring Targeted Return Gross IncBaring Asset Management Limited
49
117.50117.903.0010.918.432.7
40[+]Baring UK Growth I Inc GBPBaring Asset Management Limited
94
274.902.0020.223.0n/a
41[+]BlackRock 350 UK Equity Tracker D AccBlackRock
97
130.00130.603.2923.125.5n/a
42[+]BlackRock Aquila Emerging Markets AccBlackRock
138
776.60797.000.0042.853.835.8
43[+]BlackRock Armed Forces Common Investment Gr AccBlackRock
70
326.10327.003.5718.833.560.3
44[+]BlackRock Charifaith Common Inv AccBlackRock
65
167.00167.803.0318.929.153.1
45[+]BlackRock ChariTrak Common Investment AccBlackRock Advisors(UK) Limited
96
2,343.002,346.003.3223.125.454.8
46[+]BlackRock GF Asian Growth Leaders D2RF USDBlackRock (Luxembourg) S.A.
119
17.60
(USD)
n/a41.880.8n/a
47[+]BlackRock GF Asian Tiger Bond D2 USDBlackRock (Luxembourg) S.A.
27
12.87
(USD)
n/a20.257.5n/a
48[+]BlackRock GF European Equity Income D2 EURBlackRock (Luxembourg) S.A.
100
19.23
(EUR)
n/a18.331.786.3
49[+]BlackRock GF USD Short Duration Bond D3 USDBlackRock (Luxembourg) S.A.
76
9.82
(USD)
n/a15.537.138.5
50[+]BlackRock Growth & Recovery A IncBlackRock
74
621.40669.900.6920.633.3101.4
51[+]BlackRock Volatility Strategy I C AccBlackRock
54
133.90143.701.2716.233.8n/a
52[+]BlackRock Volatility Strategy II C AccBlackRock
66
137.40147.501.2018.235.1n/a
53[+]BlackRock Volatility Strategy III C AccBlackRock
77
140.60150.901.5421.136.8n/a
54[+]BlueBay Emerging Market Aggregate Bond R USDBlueBay Asset Management
86
110.52
(USD)
n/a24.2n/an/a
55[+]BPM Trust AccThesis Unit Trust Mgmt Ltd
57
13.37
(GBP)
0.4022.430.454.8
56[+]Broadway ICVC BalancedThe 140 Investment Managers
63
227.263.1016.424.541.0
57[+]Broadway ICVC GrowthThe 140 Investment Managers
96
288.080.0029.548.566.1
58[+]Broadway ICVC IncomeThe 140 Investment Managers
32
105.882.707.610.214.6
59[+]CAF UK Equitrack R AccLegal & General UT Mgr Ltd
95
118.30118.303.0022.825.054.9
60[+]Canlife UK Property Jersey AccCF Canada Life Investments
54
2,621.902,753.230.000.827.899.5
61[+]Capital Group Investment Company of America (LUX) ZD GBPCapital Group
n/a
9.02
(GBP)
n/an/an/an/a
62[+]Carmignac Portfolio Securite F GBP Acc HdgCarmignac Gestion
8
108.42
(GBP)
n/a2.57.0n/a
63[+]Carmignac Securite A EUR AccCarmignac Gestion
71
1,755.39
(EUR)
n/a10.77.514.7
64[+]Castlefield SDL Free Spirit Acc GBPCastlefield Fund Partners Limited
n/a
99.070.00n/an/an/a
65[+]CF AquariusCapita Financial Managers
56
1,723.340.0016.727.048.1
66[+]CF BrodenCapita Financial Managers
90
2,136.230.8525.334.153.4
67[+]CF Buxton AccCapita Financial Managers
50
3,455.780.859.623.243.1
68[+]CF CircusCapita Financial Managers
86
1,973.750.8624.632.346.4
69[+]CF DartmoorCapita Financial Managers
50
2,567.550.0013.522.436.0
70[+]CF DavidsCapita Financial Managers
51
2,169.430.0016.928.843.1
71[+]CF DrygateCapita Financial Managers
52
1,517.951,642.022.0511.920.446.6
72[+]CF GreenmountCapita Financial Managers
95
168.06181.201.0431.032.747.2
73[+]CF GullandCapita Financial Managers
73
2,156.460.9020.440.766.0
74[+]CF Heartwood Balanced Multi Asset I Acc NAVCF Heartwood Investment Management
49
146.621.1414.816.739.2
75[+]CF Heartwood Cautious Multi Asset I Acc NAVCF Heartwood Investment Management
31
136.490.779.313.428.4
   IA UNCLASSIFIED PERFORMANCE      15.424.241.9 

All prices in Pence Sterling (GBX) unless otherwise specified. Price total return performance figures are calculated on a bid price to bid price basis (mid to mid for OEICs) with net income (dividends) reinvested. Performance figures are shown in Sterling.

Data provided by FE. Care has been taken to ensure that the information is correct, but FE neither warrants, represents nor guarantees the contents of information, nor does it accept any responsibility for errors, inaccuracies, omissions or any inconsistencies herein. Past performance does not predict future performance, it should not be the main or sole reason for making an investment decision. The value of investments and any income from them can fall as well as rise.

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