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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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Additional information

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Fund performance league table: 4090 funds

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4090 funds
Rank ChartFund Group FE Risk Score What is FE Risk Score?FE Crown Rating What is FE Crown Rating?3y  
1351[+]PAF Pleiad Credit Opportunities P USDPictet Asset Management (Europe) S.A.
77
SHn/a
1352[+]PAF Mosaic Euro R EURPictet Asset Management (Europe) S.A.
20
US5.7
1353[+]Oyster World Opportunities R EURSYZ Asset Management (Luxembourg) S.A.
101
48.0
1354[+]Oyster USD Bonds C USDSYZ Asset Management (Luxembourg) S.A.
78
39.4
1355[+]Oyster US Selection C USD PRSYZ Asset Management (Luxembourg) S.A.
116
SH64.7
1356[+]Oyster Multi-Asset Diversified C EURSYZ Asset Management (Luxembourg) S.A.
81
22.2
1357[+]Oyster Market Neutral C EUR PFSYZ Asset Management (Luxembourg) S.A.
31
US-7.3
1358[+]Oyster Japan Opportunities C JPY PRSYZ Asset Management (Luxembourg) S.A.
n/a
76.8
1359[+]Oyster Global High Yield C USDSYZ Asset Management (Luxembourg) S.A.
85
47.5
1360[+]Oyster Global High Dividend C USDSYZ Asset Management (Luxembourg) S.A.
95
45.3
1361[+]Oyster Global Convertibles N EURSYZ Asset Management (Luxembourg) S.A.
33
3.3
1362[+]Oyster Flexible Credit C EUR PRSYZ Asset Management (Luxembourg) S.A.
71
SHn/a
1363[+]Oyster European Selection C EUR EURSYZ Asset Management (Luxembourg) S.A.
104
SHn/a
1364[+]Oyster European Opportunities N EUR PFSYZ Asset Management (Luxembourg) S.A.
114
14.6
1365[+]Oyster European Mid & Small Cap NSYZ Asset Management (Luxembourg) S.A.
95
23.9
1366[+]Oyster European Corporate Bonds R EURSYZ Asset Management (Luxembourg) S.A.
27
SH11.5
1367[+]Oyster Emerging Opportunities C USDSYZ Asset Management (Luxembourg) S.A.
131
SH25.5
1368[+]Oyster Continental European Selection C EURSYZ Asset Management (Luxembourg) S.A.
103
n/a
1369[+]Oyster Absolute Return GBP R GBP DSYZ Asset Management (Luxembourg) S.A.
19
SHn/a
1370[+]Orchard Inc GBPOrchard Wealth Management
49
12.4
1371[+]Orbis SICAV Global BalancedOrbis Investment Mgmt Limited
88
51.1
1372[+]Old Mutual World Equity U1 Acc GBPOld Mutl Glbl Investors(UK)Ltd
105
66.0
1373[+]Old Mutual US Dividend A Acc USDOld Mutl Glbl Investors(UK)Ltd
103
62.8
1374[+]Old Mutual UK Specialist Equity A Acc GBPOld Mutl Glbl Investors(UK)Ltd
n/a
SHn/a
1375[+]Old Mutual UK Smaller Companies Focus U1 Inc GBPOld Mutl Glbl Investors(UK)Ltd
88
58.3
1376[+]Old Mutual UK Dynamic Equity R Inc GBPOld Mutl Glbl Investors(UK)Ltd
91
45.6
1377[+]Old Mutual UK Alpha (IRL) U1 Acc GBPOld Mutl Glbl Investors(UK)Ltd
104
SH12.6
1378[+]Old Mutual Total Return USD Bond A Acc USDOld Mutl Glbl Investors(UK)Ltd
80
44.4
1379[+]Old Mutual Pacific Equity A Acc USDOld Mutl Glbl Investors(UK)Ltd
131
61.2
1380[+]Old Mutual North American Equity A Acc USDOld Mutl Glbl Investors(UK)Ltd
113
84.1
1381[+]Old Mutual Local Currency Emerging Market Debt U1 Inc GBPOld Mutl Glbl Investors(UK)Ltd
104
20.8
1382[+]Old Mutual Japanese Equity A Acc JPYOld Mutl Glbl Investors(UK)Ltd
125
49.1
1383[+]Old Mutual Gold And Silver R Acc GBPOld Mutl Glbl Investors(UK)Ltd
n/a
SHn/a
1384[+]Old Mutual Global Strategic Bond I Acc USDOld Mutl Glbl Investors(UK)Ltd
21
27.7
1385[+]Old Mutual Global Equity Income (IRL) R Acc GBPOld Mutl Glbl Investors(UK)Ltd
106
SHn/a
1386[+]Old Mutual Global Equity Absolute Return I Acc USDOld Mutl Glbl Investors(UK)Ltd
29
US53.6
1387[+]Old Mutual Global Emerging Markets R Acc GBPOld Mutl Glbl Investors(UK)Ltd
125
41.7
1388[+]Old Mutual Global Bond U1 Inc GBPOld Mutl Glbl Investors(UK)Ltd
69
23.6
1389[+]Old Mutual European Equity A Acc EUROld Mutl Glbl Investors(UK)Ltd
111
10.5
1390[+]Old Mutual European Best Ideas A Acc GBPOld Mutl Glbl Investors(UK)Ltd
92
24.7
1391[+]Old Mutual Europe (Ex UK) Smaller Companies R Acc GBPOld Mutl Glbl Investors(UK)Ltd
95
SHn/a
1392[+]Old Mutual Emerging Market Debt A Acc USDOld Mutl Glbl Investors(UK)Ltd
53
51.7
1393[+]Old Mutual Compass Portfolio 5 A Hedged Acc GBPOld Mutl Glbl Investors(UK)Ltd
n/a
SHn/a
1394[+]Old Mutual Compass Portfolio 4 A Hedged Acc GBPOld Mutl Glbl Investors(UK)Ltd
n/a
SHn/a
1395[+]Old Mutual Compass Portfolio 3 A Hedged Acc GBPOld Mutl Glbl Investors(UK)Ltd
n/a
SHn/a
1396[+]Old Mutual Compass Portfolio 2 A Hedged Acc GBPOld Mutl Glbl Investors(UK)Ltd
n/a
SHn/a
1397[+]Old Mutual China Equity U1 Acc GBPOld Mutl Glbl Investors(UK)Ltd
131
63.3
1398[+]Old Mutual Asian Equity Income R Acc GBPOld Mutl Glbl Investors(UK)Ltd
133
51.5
1399[+]Old Mutual Absolute Return Government Bond R Acc GBPOld Mutl Glbl Investors(UK)Ltd
n/a
SHn/a
1400[+]Odin Sverige NOKOdin Forvaltning AS
123
59.9
1401[+]Odin Norge NOKOdin Forvaltning AS
125
37.2
1402[+]Odin Norden NOKOdin Forvaltning AS
115
37.9
1403[+]Odin Global NOKOdin Forvaltning AS
101
45.2
1404[+]Odin Finland NOKOdin Forvaltning AS
112
29.9
1405[+]Odin Europa NOKOdin Forvaltning AS
100
20.6
1406[+]Odin Energi C NOKOdin Forvaltning AS
154
-36.0
1407[+]Odey Opportunity R GBPOdey Asset Mgt
54
10.0
1408[+]Odey Odyssey R GBPOdey Asset Mgt
94
-25.2
1409[+]Odey Giano European GBPOdey Asset Mgt
78
-15.4
1410[+]Odey European Focus B EUROdey Asset Mgt
94
16.3
1411[+]Odey Allegra Developed Markets R USDOdey Asset Mgt
117
28.6
1412[+]Oddo Compass Euro Small Cap Equity CR EUROddo Asset Management
110
20.7
1413[+]Oddo Compass Euro High Yield Bond CI EUROddo Asset Management
70
18.0
1414[+]Oddo Compass Euro Credit Short Duration DR EUROddo Asset Management
n/a
6.9
1415[+]Oddo Compass Euro Corporate Bond CI EUROddo Asset Management
71
14.7
1416[+]Oddo Compass Crossover Credit CR EUROddo Asset Management
n/a
SHn/a
1417[+]Oasis Global Equity E Dis GBPOasis Global Mgmt Co (IRL) Ltd
87
50.4
1418[+]Oasis Crescent Global Short Term Income AOasis Global Mgmt Co (IRL) Ltd
73
35.6
1419[+]Oasis Crescent Global Property Equity E Dis GBPOasis Global Mgmt Co (IRL) Ltd
96
49.6
1420[+]Oasis Crescent Global Medium Equity E Dis GBPOasis Global Mgmt Co (IRL) Ltd
75
45.9
1421[+]Oasis Crescent Global Low Equity Balanced E Dis GBPOasis Global Mgmt Co (IRL) Ltd
71
45.0
1422[+]Oasis Crescent Global Income E Dis GBPOasis Global Mgmt Co (IRL) Ltd
62
38.6
1423[+]Oasis Crescent Global Equity E Dis GBPOasis Global Mgmt Co (IRL) Ltd
88
51.4
1424[+]Oaktree (Lux) - North American High Yield Bond I2BOaktree Capital Management (Lux)
39
n/a
1425[+]Oaktree (Lux) - Non-US Convertible Bond IBOaktree Capital Management (Lux)
32
12.8

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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