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Performance

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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 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: 3128 funds

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3128 funds
Rank ChartFund Group Focus FE Risk Score What is FE Risk Score?BidOfferYield 1y 3y 5y  
301[+]Baillie Gifford Pacific B AccBaillie Gifford
125
534.200.5036.144.390.9
302[+]Baillie Gifford Sterling Aggregate Bond C Gross AccBaillie Gifford
43
115.602.40n/an/an/a
303[+]Baillie Gifford Sterling Aggregate Plus Bond B Gross AccBaillie Gifford
44
113.902.10n/an/an/a
304[+]Baillie Gifford UK Equity Alpha B AccBaillie Gifford
104
515.801.5919.115.173.6
305[+]Barclays Adventurous Growth Portfolio D AccBarclays
84
68.580.098.813.856.4
306[+]Barclays Balanced Portfolio D Acc GBPBarclays
60
85.371.707.210.637.7
307[+]Barclays Cautious Portfolio D Acc GBPBarclays
44
74.892.107.411.332.6
308[+]Barclays Dividend & Growth I Acc GBPBarclays
74
76.032.808.515.055.0
309[+]Barclays Europe (ex-UK) Alpha R Acc GBPBarclays
100
184.801.4010.323.382.8
310[+]Barclays Global Core R Acc GBPBarclays
92
171.603.4028.834.280.2
311[+]Barclays Growth Portfolio D Acc GBPBarclays
74
81.611.007.611.245.7
312[+]Barclays High Income Portfolio R Dis GBPBarclays
34
114.403.097.39.732.8
313[+]Barclays Income Plus Portfolio R Acc GBPBarclays
25
137.202.547.912.329.6
314[+]Barclays Income Portfolio R AccBarclays
26
173.203.608.012.823.0
315[+]Barclays Sterling Bond R Acc GBPBarclays
46
80.84n/a14.928.240.8
316[+]Barclays Sterling Corporate Bond R Acc GBPBarclays
34
122.30n/a11.724.944.7
317[+]Barclays UK Alpha R Acc GBPBarclays
111
450.502.1010.117.276.1
318[+]Barclays UK Alpha S2 R Acc GBPBarclays
113
1,100.001.9010.116.674.6
319[+]Barclays UK Core R Acc GBPBarclays
102
789.002.0016.416.962.1
320[+]Barclays UK Equity Income R Acc GBPBarclays
100
707.303.907.620.274.2
321[+]Barclays UK Equity Income S2 R Acc GBPBarclays
101
347.104.307.620.174.3
322[+]Barclays UK Lower Cap R Acc GBPBarclays
125
318.100.706.234.3135.1
323[+]Barclays UK Opportunities R Acc GBPBarclays
102
243.502.0013.021.980.9
324[+]Barclays Wealth Global Markets 1 R Acc GBPBarclays
23
114.700.806.07.817.2
325[+]Barclays Wealth Global Markets 2 R Acc GBPBarclays
42
123.601.1010.812.426.7
326[+]Barclays Wealth Global Markets 3 R Acc GBPBarclays
56
131.201.5614.215.435.0
327[+]Barclays Wealth Global Markets 4 R Acc GBPBarclays
68
133.000.4016.516.339.1
328[+]Barclays Wealth Global Markets 5 R Acc GBPBarclays
75
136.100.4218.617.944.1
329[+]Baring ASEAN Frontiers I Acc Nav GBPBaring Intl Fund Mgr (Ire) Ltd
102
151.08
(GBP)
n/a47.829.861.6
330[+]Baring Australia NAV USDBaring Intl Fund Mgr (Ire) Ltd
126
110.69
(USD)
n/a37.817.038.3
331[+]Baring China Select A NAV EURBaring Intl Fund Mgr (Ire) Ltd
138
15.79
(EUR)
n/a38.637.962.7
332[+]Baring Dynamic Capital Growth I IncBaring Asset Management Limited
56
274.30276.002.0012.214.9n/a
333[+]Baring Eastern Europe Fund I NAV GBPBaring Intl Fund Mgr (Ire) Ltd
151
57.36
(GBP)
n/a43.3-8.44.5
334[+]Baring Eastern Trust I Inc GBPBaring Asset Management Limited
106
829.500.4042.354.080.3
335[+]Baring Emerging Markets Debt Local Currency I NAV USDBaring Intl Fund Mgr (Ire) Ltd
100
8.32
(USD)
n/a34.510.810.9
336[+]Baring Emerging Markets Inst AccBaring Asset Management Limited
122
289.000.8044.528.333.6
337[+]Baring Europe Select I Inc GBPBaring Asset Management Limited
90
3,321.001.4033.555.2141.5
338[+]Baring European Growth I Inc GBPBaring Asset Management Limited
100
1,142.001,146.001.8016.325.5n/a
339[+]Baring German Growth I Acc GBPBaring Asset Management Limited
103
720.301.3027.636.0107.6
340[+]Baring Global Agriculture I Acc GBPBaring Asset Management Limited
95
199.800.8032.725.347.7
341[+]Baring Global Emerging Markets I Acc Nav GBPBaring Intl Fund Mgr (Ire) Ltd
124
25.76
(GBP)
n/a44.026.734.4
342[+]Baring Global Growth I Inc GBPBaring Asset Management Limited
96
450.90452.301.0026.543.583.3
343[+]Baring Global Mining A NAV GBPBaring Intl Fund Mgr (Ire) Ltd
186
5.41
(GBP)
n/a49.2-8.1n/a
344[+]Baring Global Resources Fund I NAV GBPBaring Intl Fund Mgr (Ire) Ltd
120
13.16
(GBP)
n/a29.70.2-12.0
345[+]Baring High Yield Bond Qtrly NAV GBPBaring Intl Fund Mgr (Ire) Ltd
34
6.37
(GBP)
n/a6.76.032.7
346[+]Baring Hong Kong China C NAV USDBaring Intl Fund Mgr (Ire) Ltd
141
869.64
(USD)
n/a32.832.048.5
347[+]Baring India A NAV GBPBaring Intl Fund Mgr (Ire) Ltd
119
19.08
(GBP)
n/a36.9113.4n/a
348[+]Baring International Bond I Inc NAV GBPBaring Intl Fund Mgr (Ire) Ltd
68
20.49
(GBP)
0.0026.127.323.8
349[+]Baring Japan Growth I Acc GBPBaring Asset Management Limited
125
175.10175.700.0035.131.676.7
350[+]Baring Korea Trust I Acc GBPBaring Asset Management Limited
134
329.00331.900.0027.927.444.9
351[+]Baring Latin america A Inc NAV USDBaring Intl Fund Mgr (Ire) Ltd
154
31.19
(USD)
n/a45.3-7.9-9.2
352[+]Baring MENA A Inc NAV GBPBaring Intl Fund Mgr (Ire) Ltd
119
13.06
(GBP)
0.006.313.163.3
353[+]Baring Multi Asset I AccBaring Asset Management Limited
51
173.901.4010.414.629.7
354[+]Baring Russia R Inc GBPBarings International Group
172
36.79
(GBP)
n/a60.02.014.9
355[+]Baring Strategic Bond I Inc GBPBaring Asset Management Limited
21
117.90118.101.702.06.0n/a
356[+]Baring Targeted Return Gross IncBaring Asset Management Limited
52
115.00115.403.0010.116.535.6
357[+]Baring UK Growth I Inc GBPBaring Asset Management Limited
95
260.30262.102.0014.318.0n/a
358[+]BlackRock 100 UK Equity Tracker D AccBlackRock
102
143.20143.903.4318.517.5n/a
359[+]BlackRock 350 UK Equity Tracker D AccBlackRock
96
119.70120.303.2816.8n/an/a
360[+]BlackRock Absolute Return Bond DBlackRock
9
108.60109.002.611.82.8n/a
361[+]BlackRock Aquila Emerging Markets AccBlackRock
131
665.90683.400.0034.220.430.7
362[+]BlackRock Armed Forces Common Investment Gr AccBlackRock
66
304.30305.303.6916.029.262.3
363[+]BlackRock Asia D AccBlackRock
120
143.30144.300.9443.742.6n/a
364[+]BlackRock Asia Special Situations D AccBlackRock
115
160.00161.000.9244.1n/an/a
365[+]BlackRock Balanced Growth Portfolio D AccBlackRock
66
294.00295.502.7011.720.349.2
366[+]BlackRock Balanced Managed A Inst Acc GBPBlackRock
65
164.90174.000.5111.418.647.1
367[+]BlackRock Cash D AccBlackRock
1
240.00240.000.110.30.71.3
368[+]BlackRock Charifaith Common Inv AccBlackRock
62
155.00155.903.2113.323.753.9
369[+]BlackRock ChariTrak Common Investment AccBlackRock Advisors(UK) Limited
95
2,159.002,162.003.4616.718.267.6
370[+]BlackRock Continental European D AccBlackRock
97
2,069.002,075.001.4618.931.697.8
371[+]BlackRock Continental European Equity Tracker DBlackRock
103
196.90197.202.6421.924.474.2
372[+]BlackRock Continental European Income D AccBlackRock
99
179.50180.004.2620.239.7115.3
373[+]BlackRock Corporate Bond 1 to 10 Year DBlackRock
20
141.80142.603.069.218.541.6
374[+]BlackRock Corporate Bond D AccBlackRock
26
323.50325.402.9211.925.352.2
375[+]BlackRock Corporate Bond Tracker D AccBlackRock
34
152.20153.502.7614.026.847.6

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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