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FE Risk Score

FE Risk scores tell you how risky an investment is compared to the FTSE100. They do not show you how risky an investment is in absolute terms, but are a useful means to compare potential investments with this most widely known index.

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FE Crown Fund Rating

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Performance

1 year at least   %

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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       %
Maximum Loss
 

Maximum Loss

Maximum loss shows the maximum a fund has lost between a single peak and trough, at any time during the period you’ve selected. Effectively it shows you the worst case scenario had you invested at the peak and sold at the trough during that time.

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  £

Period

Additional information

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For Sale In

Fund performance league table: 4088 funds

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4088 funds
Rank ChartFund Group FE Risk Score What is FE Risk Score?FE Crown Rating What is FE Crown Rating?3y  
1[+]Zadig Memnon European R EURZadig gestion Luxembourg S.A
106
30.0
2[+]WSP Global Strategy Risk 10% Portfolio D5 USDWorld Inv Opportunities Funds
82
-0.6
3[+]Worldwide Inv Opportunistic Equity A USDWorldwide Investors Portfolio
122
52.0
4[+]Worldwide Inv Emerging Markets Fixed Income A EURWorldwide Investors Portfolio
95
17.1
5[+]Winton US Equity Z USDWinton Capital Management Ltd
119
SHn/a
6[+]Winton Global Equity Z USDWinton Capital Management Ltd
106
49.8
7[+]Winton European Equity Z EURWinton Capital Management Ltd
104
SHn/a
8[+]Willer Equity Russia & Eastern EuroWiller
99
25.5
9[+]Willer Equity North AmericaWiller
109
55.5
10[+]Willer Equity LatinAmericaWiller
179
32.0
11[+]Willer Equity JapanWiller
125
42.9
12[+]Willer Equity Italy PWiller
134
-0.1
13[+]Willer Equity EuropeWiller
98
8.1
14[+]Willer Equity Asia Ex-Japan PWiller
118
38.7
15[+]Willer Bond European CurrenciesWiller
71
6.7
16[+]Willer Bond CapitalWiller
74
33.0
17[+]Western Asset US Dollar Liquidity SWestern Asset Liquidity Fd plc
73
33.9
18[+]Wells Fargo Worldwide US Small Cap Value A USDWells Fargo
n/a
SHn/a
19[+]Wells Fargo Worldwide US Select Equity A GBPWells Fargo
125
SHn/a
20[+]Wells Fargo Worldwide US Large Cap Growth A USDWells Fargo
120
49.4
21[+]Wells Fargo Worldwide US High Yield Bond A USDWells Fargo
81
50.3
22[+]Wells Fargo Worldwide US All Cap Growth A USDWells Fargo
131
46.3
23[+]Wells Fargo Worldwide Global Focused Equity A USDWells Fargo
n/a
SHn/a
24[+]Wells Fargo Worldwide Global Equity A USDWells Fargo
109
42.8
25[+]Wells Fargo Worldwide Emerging Markets Equity Income I USDWells Fargo
122
46.9
26[+]Wells Fargo Worldwide Emerging Markets Equity A GBPWells Fargo
133
39.9
27[+]Wells Fargo Worldwide China Equity A USDWells Fargo
145
56.5
28[+]Wellington World Bond D Unhedged Acc USDWellington Management Funds
12
SHn/a
29[+]Wellington US Research Equity N Unhedged Acc USDWellington Management Funds
112
SHn/a
30[+]Wellington US Equity Long-Short N Unhedged Acc USDWellington Management Funds
90
SHn/a
31[+]Wellington US Cap Appreciation Equity R Unhedged Acc USDWellington Management Funds
126
32.0
32[+]Wellington Strategic European Equity D Unhedged Acc EURWellington Management Funds
95
38.2
33[+]Wellington Multi-Asset Absolute Return D Unhedged Acc USDWellington Management Funds
28
n/a
34[+]Wellington MP II Global Total Return AEH USDWellington Management Funds
77
1.9
35[+]Wellington Hedged Alpha Opportunities D Unhedged Acc USDWellington Management Funds
n/a
SHn/a
36[+]Wellington Global Total Return (UCITS) N Unhedged USDWellington Management Funds
9
US35.1
37[+]Wellington Global Quality Growth D Unhedged Acc USDWellington Management Funds
n/a
SHn/a
38[+]Wellington Global Opportunities Equity N Unhedged Acc USDWellington Management Funds
109
SH53.8
39[+]Wellington Global Impact D Unhedged Acc USDWellington Management Funds
n/a
SHn/a
40[+]Wellington Global Health Care Long-Short D Unhedged Acc USDWellington Management Funds
112
SHn/a
41[+]Wellington Global Health Care Equity D Unhedged Acc USDWellington Management Funds
151
71.6
42[+]Wellington Global Capital Cycles Long-Short N Unhedged Acc USDWellington Management Funds
82
SHn/a
43[+]Wellington European Contrarian Value D UnhedgedWellington Management Funds
n/a
SHn/a
44[+]Wellington Emerging Markets Research Equity N Unhedged Acc USDWellington Management Funds
n/a
SHn/a
45[+]Wellington Emerging Market Themes N Unhedged Acc USDWellington Management Funds
n/a
SHn/a
46[+]Wellington Emerging Local Debt GN Unhedged Acc USDWellington Management Funds
n/a
22.3
47[+]Wellington Dynamic Diversified Income N Unhedged Dis USDWellington Management Funds
79
SHn/a
48[+]Wellington Durable Companies N Unhedged Inc GBPWellington Management Funds
n/a
SHn/a
49[+]Wellington Asia Ex Japan Equity N Unhedged Acc GBPWellington Management Funds
119
47.1
50[+]Waverton UK A GBPWaverton Investment Management
87
8.1
51[+]Waverton Tactical Equity A GBPWaverton Investment Management
88
30.7
52[+]Waverton Sterling Bond B GBPWaverton Investment Management
23
9.9
53[+]Waverton Southeast Asian Focus RetailWaverton Investment Management
121
42.2
54[+]Waverton Global Equity B USDWaverton Investment Management
101
55.0
55[+]Waverton Global Core Equity B GBPWaverton Investment Management
n/a
SHn/a
56[+]Waverton Global Bond I USDWaverton Investment Management
80
39.0
57[+]Waverton European Income RWaverton Investment Management
98
39.6
58[+]Waverton European Capital Growth EURWaverton Investment Management
95
33.9
59[+]Waverton Cautious Income P GBPWaverton Investment Management
46
SHn/a
60[+]Waverton Asia Pacific A GBPWaverton Investment Management
121
46.6
61[+]Waverton Alternatives PWaverton Investment Management
20
SH3.9
62[+]Vulcan Value Equity II Inc GBPVulcan Value Partners LLC
116
62.9
63[+]Vontobel US Equity B USDVontobel Asset Management S.A.
109
77.0
64[+]Vontobel TwentyFour Global Unconstrained Bond N GBPTwentyFour Asset Management LLP
n/a
SHn/a
65[+]Vontobel TwentyFour Absolute Return Credit NTwentyFour Asset Management LLP
n/a
SHn/a
66[+]Vontobel Target Return Growth B EURVontobel Asset Management S.A.
79
SHn/a
67[+]Vontobel Target Return Defensive CVontobel Asset Management S.A.
69
-1.1
68[+]Vontobel Target Return Balanced B EURVontobel Asset Management S.A.
70
SHn/a
69[+]Vontobel New Power BVontobel Asset Management S.A.
121
20.9
70[+]Vontobel mtx Sustainable Global Leaders B USDVontobel Asset Management S.A.
100
36.5
71[+]Vontobel mtx Sustainable Asian Leaders (ex Japan) BVontobel Asset Management S.A.
137
77.4
72[+]Vontobel Japanese Equity BVontobel Asset Management S.A.
131
56.8
73[+]Vontobel High Yield Bond B EURVontobel Asset Management S.A.
71
9.1
74[+]Vontobel Global Equity Income BVontobel Asset Management S.A.
96
35.0
75[+]Vontobel Global Equity BVontobel Asset Management S.A.
103
61.0

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).

Key to codes

LC : Low correlation to benchmarks
SH : Fund with a short history
US : Fund in an unrated sector
PT : Passive fund

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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