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Performance

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3 year at least   %

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

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: 1121 funds

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1121 funds
Rank ChartFund Group Focus FE Risk Score What is FE Risk Score?Currency BidOfferYield 1y 3y 5y  
151[+]BlueBay Emerging Market High Yield Corporate Bond R SGD MIDivBlueBay Asset Management
92
SGD81.590.0029.631.6n/a
152[+]BlueBay Emerging Market Investment Grade Corporate Bond R EURBlueBay Asset Management
76
EUR120.15n/a17.1n/an/a
153[+]BlueBay Emerging Market Local Currency Bond C GBP AIDivBlueBay Asset Management
81
GBP63.280.009.3-11.1n/a
154[+]BlueBay Emerging Market Local Currency Corporate Bond M EURBlueBay Asset Management
n/a
EUR105.41n/an/an/an/a
155[+]BlueBay Emerging Market Select Bond C USDBlueBay Asset Management
92
USD102.00n/a25.0n/an/a
156[+]BlueBay Financial Capital Bond C USDBlueBay Asset Management
n/a
USD119.50n/a34.3n/an/a
157[+]BlueBay Global Convertible Bond C USDBlueBay Asset Management
74
USD111.34n/a21.2n/an/a
158[+]BlueBay Global High Yield Bond C USDBlueBay Asset Management
81
USD121.68n/a24.2n/an/a
159[+]BlueBay Global Investment Grade Convertible Bond R EURBlueBay Asset Management
72
EUR116.62n/a24.7n/an/a
160[+]BlueBay Global Investment Grade Corporate Bond C USDBlueBay Asset Management
80
USD105.91n/a21.8n/an/a
161[+]BlueBay Global Sovereign Opportunities C C Perf USDBlueBay Asset Management
n/a
USD99.06n/an/an/an/a
162[+]BlueBay High Yield Bond C GBPBlueBay Asset Management
23
GBP112.48n/a9.2n/an/a
163[+]BlueBay High Yield Corporate Bond C EUR AIDivBlueBay Asset Management
79
EUR97.780.0021.616.3n/a
164[+]BlueBay Investment Grade Absolute Return Bond C GBPBlueBay Asset Management
20
GBP99.38n/a5.1n/an/a
165[+]BlueBay Investment Grade Bond C GBP AIDivBlueBay Asset Management
18
GBP105.280.004.37.4n/a
166[+]BlueBay Investment Grade Euro Aggregate Bond C EURBlueBay Asset Management
n/a
EUR105.39n/a17.8n/an/a
167[+]BlueBay Investment Grade Euro Government Bond C EURBlueBay Asset Management
150
EUR100.53n/an/an/an/a
168[+]BlueBay Investment Grade Global Aggregate Bond Q BHedged JPYBlueBay Asset Management
119
JPY10,458.00n/a18.1n/an/a
169[+]BlueBay Structured High Income Loan S EURBlueBay Asset Management
71
EUR107.44n/a19.8n/an/a
170[+]BlueBay Total Return Credit C GBP QIDivBlueBay Asset Management
34
GBP93.35n/a8.3n/an/a
171[+]BNP Paribas Flexi I US Mortgage Classic USDBNP Paribas Invest Partners Lux
n/a
USD1,716.06n/a14.240.041.8
172[+]BNP Paribas L1 Bond Euro Premium Classic Cap EURBNP Paribas Invest Partners Lux
71
EUR145.320.0013.49.519.0
173[+]BNP Paribas L1 Bond Europe Plus Classic Cap EURBNP Paribas Invest Partners Lux
60
EUR427.810.0012.813.728.8
174[+]BNP Paribas L1 Bond World Plus Classic Cap EURBNP Paribas Invest Partners Lux
74
EUR1,634.410.0013.816.521.5
175[+]BNP Paribas L1 Convertible Bond Best Selection Europe Classic Cap EURBNP Paribas Invest Partners Lux
69
EUR82.180.0017.016.948.8
176[+]BNPP Easy JPM EMBI Global Diversified Composite Track Classic Cap USDBNP Paribas Invest Partners Lux
82
USD133.52n/a21.946.754.0
177[+]BNPP Easy JPM GBI EMU Track Classic Cap EURBNP Paribas Invest Partners Lux
79
EUR133.36n/a12.818.035.6
178[+]BNPP Easy JPM GBI Global ex EMU Hedged EUR Track Privilege Cap EURBNP Paribas Invest Partners Lux
78
EUR93.45n/a12.418.2n/a
179[+]BNPP Easy Markit iBoxx EUR Liquid Corporates Track Privilege Cap EURBNP Paribas Invest Partners Lux
71
EUR109.09n/a16.214.4n/a
180[+]BNPP Islamic Hilal Income Classic Cap USDBNP Paribas Invest Partners Lux
77
USD1,430.28n/a15.936.439.4
181[+]BNY Mellon Absolute Return Bond R EURBNY Mellon Investment Management EMEA Ltd
22
EUR105.14n/a15.67.6n/a
182[+]BNY Mellon Emerging Markets Corporate Debt W USDBNY Mellon Investment Management EMEA Ltd
34
USD139.50n/a25.054.471.0
183[+]BNY Mellon Emerging Markets Debt A USDBNY Mellon Investment Management EMEA Ltd
88
USD2.14n/a26.642.146.1
184[+]BNY Mellon Emerging Markets Debt Local Currency W Acc USDBNY Mellon Investment Management EMEA Ltd
76
USD0.86n/a28.015.014.7
185[+]BNY Mellon Emerging Markets Debt Opportunistic A EURBNY Mellon Investment Management EMEA Ltd
86
EUR1.22n/a27.725.8n/a
186[+]BNY Mellon Euroland Bond A EURBNY Mellon Investment Management EMEA Ltd
75
EUR1.90n/a15.915.333.6
187[+]BNY Mellon European Credit A AccBNY Mellon Investment Management EMEA Ltd
71
EUR117.71n/a17.716.2n/a
188[+]BNY Mellon Global Bond A USDBNY Mellon Investment Management EMEA Ltd
76
USD2.17n/a12.926.116.9
189[+]BNY Mellon Global Dynamic Bond A USDBNY Mellon Investment Management EMEA Ltd
10
USD1.18n/a17.234.937.7
190[+]BNY Mellon Global High Yield Bond ABNY Mellon Investment Management EMEA Ltd
88
EUR2.31n/a28.144.878.0
191[+]BNY Mellon Global Opportunistic Bond A USDBNY Mellon Investment Management EMEA Ltd
23
USD1.10n/a20.028.433.6
192[+]BNY Mellon Global Short Dated High Yield Bond A USDBNY Mellon Investment Management EMEA Ltd
n/a
USD1.044.63n/an/an/a
193[+]BNY Mellon Targeted Return Bond ABNY Mellon Investment Management EMEA Ltd
20
USD1.011.9519.3n/an/a
194[+]BNY Mellon US Municipal Infrastructure Debt H Hedged Acc EURBNY Mellon Investment Management EMEA Ltd
n/a
EUR1.014.62n/an/an/a
195[+]Bradesco Brazilian Hard Currency Bonds R USDBradesco Asset Management
90
USD113.89n/a24.629.028.1
196[+]C+F Euro Bonds C CapCapfi Delen Asset Management
84
EUR422.85n/a13.27.18.7
197[+]Calamos Global Convertible Opportunities A Acc USDCalamos Advisors
82
USD12.35n/a26.343.964.6
198[+]Candriam Bonds Convertible Defensive Classique Cap EURCandriam Investors Group
68
EUR129.60n/a17.812.225.6
199[+]Candriam Bonds Credit Opportunities Classique Cap EURCandriam Investors Group
71
EUR198.44n/a17.315.839.5
200[+]Candriam Bonds Emerging Debt Local Currencies Classique Cap USDCandriam Investors Group
99
USD93.92n/a23.715.719.4
201[+]Candriam Bonds Emerging Markets C Cap USDCandriam Investors Group
n/a
USD2,477.14n/a25.951.962.9
202[+]Candriam Bonds Euro High Yield C CapCandriam Investors Group
n/a
EUR1,101.46n/a22.124.565.3
203[+]Candriam Bonds Global High Yield C Cap EURCandriam Investors Group
n/a
EUR206.45n/a23.123.251.5
204[+]Candriam Bonds Total Return C CapCandriam Investors Group
n/a
EUR136.71n/a14.512.431.3
205[+]Candriam GF US High Yield Corporate Bonds R UnHedged GBPCandriam Investors Group
13
GBP137.58n/a27.2n/an/a
206[+]Capital Group Emerging Markets Debt (LUX) Z GBPCapital Group
93
GBP11.60n/a26.431.437.9
207[+]Capital Group Emerging Markets Local Currency Debt (LUX) ZD GBPCapital Group
100
GBP7.25n/a28.420.724.3
208[+]Capital Group Euro Bond (LUX) Z GBPCapital Group
77
GBP15.12n/a15.320.335.7
209[+]Capital Group Euro Corporate Bond (LUX) Z GBPCapital Group
73
GBP11.51n/a17.919.238.8
210[+]Capital Group Global Bond (LUX) Z GBPCapital Group
73
GBP15.67n/a13.728.423.0
211[+]Capital Group Global High Income Opportunities (LUX) Z GBPCapital Group
43
GBP32.31n/a30.340.255.7
212[+]Capital Group US Corporate Bond (LUX) Z GBPCapital Group
n/a
GBP7.89n/an/an/an/a
213[+]Capital International High Income PlcCapitaI International Fund Managers Ltd
43
GBP0.570.604.796.311.127.4
214[+]Capital International Sterling Roll Up PlcCapitaI International Fund Managers Ltd
40
GBP4.014.250.0010.220.637.5
215[+]Capital Strategy Fixed Income Allocator A USDCapital Strategy Fds Sicav plc
78
USD119.370.0018.531.237.4
216[+]Carmignac Portfolio Capital Plus F EUR AccCarmignac Gestion
11
EUR1,043.35n/a16.89.719.4
217[+]Carmignac Portfolio Global Bond F EUR AccCarmignac Gestion
39
EUR131.03n/a22.932.433.7
218[+]Carmignac Portfolio Securite F EUR AccCarmignac Gestion
7
EUR106.60n/a16.111.9n/a
219[+]Carmignac Securite A EUR AccCarmignac Gestion
70
EUR1,756.27n/a15.711.019.7
220[+]CG DollarCG Asset Management Ltd
78
GBP155.530.0016.133.921.6
221[+]CG Gearing PortfolioCG Asset Management Ltd
27
GBP31,186.530.0013.924.234.9
222[+]CG Real Return IncCG Asset Management Ltd
70
GBP198.09n/a16.429.217.1
223[+]CGS FMS Global Evolution EM Blended Debt RGlobal Evolution Manco
92
EUR113.86113.86n/a24.57.216.6
224[+]CGS FMS Global Evolution EM Local Debt R EURGlobal Evolution Manco
93
EUR104.86104.86n/a23.220.9n/a
225[+]CGS FMS Global Evolution Frontier Markets R EURGlobal Evolution Manco
75
EUR145.77145.77n/a28.124.945.1

Price total return performance figures are calculated on a bid price to bid price basis (mid to mid where applicable) with gross income (dividends) reinvested. Performance figures are shown in Pence Sterling (GBX).

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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