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Performance

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5 year at least   %

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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: 3116 funds

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3116 funds
Rank ChartFund Group Focus FE Risk Score What is FE Risk Score?BidOfferYield 1y 3y 5y  
1351[+]Investec Global Quality Equity Income A Acc GBPInvestec Fund Managers (UK)
n/a
112.431.16n/an/an/a
1352[+]Investec Global Special Situations I Acc GBPInvestec Fund Managers (UK)
96
208.201.059.531.854.5
1353[+]Investec Global Strategic Equity I Acc GBPInvestec Fund Managers (UK)
94
176.960.808.240.072.3
1354[+]Investec Managed Growth I Acc GBPInvestec Fund Managers (UK)
71
174.600.695.827.950.4
1355[+]Investec Monthly High Income I Acc GBPInvestec Fund Managers (UK)
32
168.906.278.214.726.2
1356[+]Investec Multi Asset Protector 2 I Acc GBPInvestec Fund Managers (UK)
42
129.320.572.416.522.1
1357[+]Investec Multi Asset Protector A Acc GBPInvestec Fund Managers (UK)
41
158.780.000.713.517.5
1358[+]Investec Strategic Bond I Acc GBPInvestec Fund Managers (UK)
16
109.382.702.87.111.1
1359[+]Investec Target Return I Acc GBPInvestec Fund Managers (UK)
9
108.360.86-0.3-0.7-2.3
1360[+]Investec UK Alpha I Inc GBPInvestec Fund Managers (UK)
83
311.312.323.934.282.7
1361[+]Investec UK Equity Income I AccInvestec Fund Managers (UK)
n/a
108.173.0610.2n/an/a
1362[+]Investec UK Smaller Companies I Inc GBPInvestec Fund Managers (UK)
81
4,562.451.16-5.128.866.1
1363[+]Investec UK Special Situations I Acc GBPInvestec Fund Managers (UK)
84
165.682.60-1.96.943.4
1364[+]Investec UK Total Return I Acc GBPInvestec Fund Managers (UK)
48
123.381.97-2.06.121.4
1365[+]Janus Flexible Income A Acc USDJanus Capital Funds
69
20.73
(USD)
n/a22.025.341.5
1366[+]Janus High Yield A Acc USDJanus Capital Funds
68
25.17
(USD)
n/a21.226.651.5
1367[+]Janus Opportunistic Alpha B Acc USDJanus Capital Funds
114
13.66
(USD)
n/a3.529.525.1
1368[+]Janus Perkins US Strategic Value A Acc USDJanus Capital Funds
89
21.59
(USD)
n/a24.438.469.9
1369[+]Janus US Short Term Bond A Acc USDJanus Capital Funds
65
16.69
(USD)
n/a19.519.129.3
1370[+]JB BF ABS EUR B EURGAM (Luxembourg) S.A.
58
105.39
(EUR)
0.0018.8-0.72.5
1371[+]JB BF Total Return B EURGAM (Luxembourg) S.A.
60
98.06
(EUR)
0.0017.1-2.01.1
1372[+]JB EF Absolute Return Europe Rh GBPGAM (Luxembourg) S.A.
17
104.60
(GBP)
n/a-2.35.0n/a
1373[+]JB EF Luxury Brands RA GBPGAM (Luxembourg) S.A.
101
105.80
(GBP)
n/a3.94.025.0
1374[+]JB Global Equity Income BGAM (Luxembourg) S.A.
94
117.32
(EUR)
0.0013.435.345.5
1375[+]JB Multistock Asia Focus BGAM (Luxembourg) S.A.
115
102.84
(USD)
n/a13.731.232.6
1376[+]JB Multistock Euroland Value Stock B GBPGAM (Luxembourg) S.A.
145
90.29
(GBP)
n/a-3.1n/an/a
1377[+]JB Multistock Europe Focus B EURGAM (Luxembourg) S.A.
92
357.71
(EUR)
n/a5.611.518.8
1378[+]JB Multistock Health Innovation B USDGAM (Luxembourg) S.A.
128
314.74
(USD)
0.00-1.975.5238.9
1379[+]JGF-Jupiter Asia Pacific Income L Acc USDJupiter Asset Management
106
25.32
(USD)
n/a15.828.229.1
1380[+]JGF-Jupiter European Growth D Acc GBPJupiter Asset Management
85
14.02
(GBP)
n/a12.248.796.3
1381[+]JGF-Jupiter European Opportunities D Acc EURJupiter Asset Management
86
11.41
(EUR)
n/a3.421.646.2
1382[+]JGF-Jupiter Global Ecology Growth D A Inc Dist EURJupiter Asset Management
90
11.24
(EUR)
n/a14.726.643.7
1383[+]JGF-Jupiter Global Equities L Acc USDJupiter Asset Management
85
14.82
(USD)
n/a15.128.459.6
1384[+]JGF-Jupiter Global Financials D Acc GBPJupiter Asset Management
97
12.14
(GBP)
n/a6.039.172.9
1385[+]JGF-Jupiter India Select D Acc USDJupiter Asset Management
143
11.68
(USD)
n/a23.5101.350.0
1386[+]JGF-Jupiter New Europe L A Inc GBPJupiter Asset Management
140
7.36
(GBP)
n/a22.0-13.0-24.2
1387[+]JOHCM Asia ex Japan A GBPJO Hambro Capital Management
96
1.84
(GBP)
n/a15.728.3n/a
1388[+]JOHCM Asia ex Japan Small and Mid Cap A GBPJO Hambro Capital Management
100
2.04
(GBP)
n/a12.539.9n/a
1389[+]JOHCM Continental European A GBPJO Hambro Capital Management
98
3.78
(GBP)
n/a6.133.357.2
1390[+]JOHCM Emerging Markets A GBPJO Hambro Capital Management
116
1.07
(GBP)
n/a18.018.914.0
1391[+]JOHCM European Select Value A GBPJO Hambro Capital Management
91
5.06
(GBP)
n/a17.033.470.3
1392[+]JOHCM Global Emerging Markets Opportunities A GBPJO Hambro Capital Management
123
1.07
(GBP)
n/a15.326.315.0
1393[+]JOHCM Global Opportunities A GBPJO Hambro Capital Management
79
1.71
(GBP)
n/a26.556.9n/a
1394[+]JOHCM Global Select A GBPJO Hambro Capital Management
94
2.46
(GBP)
n/a8.245.274.5
1395[+]JOHCM Japan A GBPJO Hambro Capital Management
126
1.97
(GBP)
n/a5.712.248.2
1396[+]JOHCM Japan Dividend Growth A GBPJO Hambro Capital Management
127
1.18
(GBP)
n/a8.5n/an/a
1397[+]JOHCM UK Dynamic A AccJO Hambro Capital Management
93
1.97
(GBP)
3.42-0.419.963.8
1398[+]JOHCM UK Equity Income A AccJO Hambro Capital Management
95
2.87
(GBP)
4.29-5.612.654.0
1399[+]JOHCM UK Growth AJO Hambro Capital Management
89
2.85
(GBP)
n/a-8.99.947.2
1400[+]JOHCM UK Opportunities A AccJO Hambro Capital Management
78
2.66
(GBP)
2.7911.330.869.4
1401[+]JOHCM US Small Mid Cap Equity A GBPJO Hambro Capital Management
112
1.37
(GBP)
n/a17.6n/an/a
1402[+]JPM Africa Equity D (perf) Acc NAV USDJPMorgan Asset Mgmt (Europe) S.a r.l.
134
8.47
(USD)
n/a-2.7-8.8-3.2
1403[+]JPM America Equity C AccJP Morgan Asset Management UK
101
145.800.0517.4n/an/a
1404[+]JPM America Equity D Acc NAV USDJPMorgan Asset Mgmt (Europe) S.a r.l.
99
16.96
(USD)
n/a15.744.096.1
1405[+]JPM Asia C AccJP Morgan Asset Management UK
110
146.601.1317.929.425.3
1406[+]JPM Balanced Managed C AccJP Morgan Asset Management UK
57
129.101.080.9n/an/a
1407[+]JPM Brazil Equity A Acc NAV USDJPMorgan Asset Mgmt (Europe) S.a r.l.
195
5.55
(USD)
n/a30.1-19.0-39.1
1408[+]JPM Cautious Managed C AccJP Morgan Asset Management UK
32
131.000.955.022.720.6
1409[+]JPM Diversified Real Return C AccJP Morgan Asset Management UK
40
115.601.3610.513.2n/a
1410[+]JPM Emerging Europe Equity C AccJP Morgan Asset Management UK
138
168.203.2418.7-16.6-25.5
1411[+]JPM Emerging Markets B AccJP Morgan Asset Management UK
122
236.301.1920.116.813.0
1412[+]JPM Emerging Markets Income C AccJP Morgan Asset Management UK
119
62.274.5916.910.3n/a
1413[+]JPM Emerging Markets Small Cap A (perf) Dis NAV GBPJPMorgan Asset Mgmt (Europe) S.a r.l.
103
8.52
(GBP)
0.0023.038.036.2
1414[+]JPM Emerging Middle East Equity D Acc NAV USDJPMorgan Asset Mgmt (Europe) S.a r.l.
121
18.56
(USD)
n/a-4.1-1.915.5
1415[+]JPM Europe C AccJP Morgan Asset Management UK
94
153.001.766.730.150.9
1416[+]JPM Europe Dynamic Ex UK C AccJP Morgan Asset Management UK
99
181.801.455.134.357.1
1417[+]JPM Europe Dynamic Small Cap D (perf) Acc NAVJPMorgan Asset Mgmt (Europe) S.a r.l.
97
22.05
(EUR)
n/a17.438.674.8
1418[+]JPM Europe Equity Plus D (perf) Acc NAV EURJPMorgan Asset Mgmt (Europe) S.a r.l.
93
13.06
(EUR)
n/a1.621.154.4
1419[+]JPM Europe Select Equity Plus D (perf) Acc NAV EURJPMorgan Asset Mgmt (Europe) S.a r.l.
94
9.66
(EUR)
n/a-1.610.728.5
1420[+]JPM Europe Small Cap A Dis NAV EURJPMorgan Asset Mgmt (Europe) S.a r.l.
88
64.29
(EUR)
n/a13.642.972.6
1421[+]JPM Europe Smaller Companies C AccJP Morgan Asset Management UK
95
598.700.6823.555.363.1
1422[+]JPM Europe Strategic Growth D Acc NAV EURJPMorgan Asset Mgmt (Europe) S.a r.l.
92
14.94
(EUR)
n/a12.341.766.1
1423[+]JPM Europe Strategic Value A Dis NAV EURJPMorgan Asset Mgmt (Europe) S.a r.l.
93
13.87
(EUR)
n/a1.013.528.6
1424[+]JPM Global Bond Opportunities C AccJP Morgan Asset Management UK
n/a
104.203.313.6n/an/a
1425[+]JPM Global Convertibles EUR D Acc NAV EURJPMorgan Asset Mgmt (Europe) S.a r.l.
42
12.20
(EUR)
n/a11.43.68.4

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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