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Performance

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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: 4087 funds

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4087 funds
Rank ChartFund Group Focus FE Risk Score What is FE Risk Score?Currency BidOfferYield 1y 3y 5y  
301[+]Aviva Investors European Equity B EURAviva Investors Luxembourg SA
94
EUR9.22n/a15.629.779.2
302[+]Aviva Investors European Equity Income BAviva Investors Luxembourg SA
101
EUR12.88n/a22.219.160.7
303[+]Aviva Investors European Real Estate Securities B EURAviva Investors Luxembourg SA
102
EUR12.63n/a10.525.771.1
304[+]Aviva Investors Global Aggregate Bond B EURAviva Investors Luxembourg SA
19
EUR11.81n/a8.911.312.1
305[+]Aviva Investors Global Convertibles B USDAviva Investors Luxembourg SA
43
USD9.23n/a20.526.340.3
306[+]Aviva Investors Global Equity Endurance Ry GBPAviva Investors Luxembourg SA
n/a
GBP10.98n/an/an/an/a
307[+]Aviva Investors Global High Yield Bond A USDAviva Investors Luxembourg SA
31
USD20.56n/a29.450.466.9
308[+]Aviva Investors Long Term European Bond BAviva Investors Luxembourg SA
107
EUR89.68n/a3.927.947.3
309[+]Aviva Investors Multi Strategy Target Return A EURAviva Investors Luxembourg SA
26
EUR10.61n/a7.2n/an/a
310[+]Aviva Investors Short Term European Bond BAviva Investors Luxembourg SA
69
EUR14.28n/a7.51.72.1
311[+]Aviva Investors UK Opportunities BAviva Investors Luxembourg SA
81
GBP5.77n/a14.011.748.8
312[+]AXA World Funds Emerging Markets Short Duration Bonds F Cap USDAXA Investment Managers
17
USD116.68n/a23.645.4n/a
313[+]AXA World Funds Euro 10+LT A Cap EURAXA Investment Managers
102
EUR213.23n/a6.130.652.7
314[+]AXA World Funds Euro 3-5 F Cap EURAXA Investment Managers
68
EUR107.48n/a9.89.3n/a
315[+]AXA World Funds Euro 5-7 F Cap EURAXA Investment Managers
70
EUR112.44n/a10.013.4n/a
316[+]AXA World Funds Euro 7-10 F Cap EURAXA Investment Managers
76
EUR118.97n/a9.719.4n/a
317[+]AXA World Funds Euro Bonds F Cap EURAXA Investment Managers
75
EUR61.61n/a9.014.725.7
318[+]AXA World Funds Euro Credit Plus F Cap EURAXA Investment Managers
71
EUR19.25n/a14.112.828.3
319[+]AXA World Funds Euro Credit Short Duration F Cap EURAXA Investment Managers
68
EUR119.44n/a10.26.111.9
320[+]AXA World Funds Euro Credit Total Return A Cap EURAXA Investment Managers
28
EUR105.78n/a18.6n/an/a
321[+]AXA World Funds Euro Inflation Bonds F Cap EURAXA Investment Managers
76
EUR103.51n/a10.0n/an/a
322[+]AXA World Funds European High Yield Bonds A Cap EURAXA Investment Managers
23
EUR132.26n/a22.018.6n/a
323[+]AXA World Funds Framlington Emerging Markets F Cap USDAXA Investment Managers
123
USD91.50n/a37.942.526.8
324[+]AXA World Funds Framlington Europe Small Cap A Cap EURAXA Investment Managers
90
EUR153.49n/a21.241.2103.7
325[+]AXA World Funds Framlington Health F Cap USDAXA Investment Managers
135
USD225.71n/a22.755.6135.9
326[+]AXA World Funds Framlington Robotech A Cap USDAXA Investment Managers
n/a
USD103.79n/an/an/an/a
327[+]AXA World Funds Framlington Switzerland A Cap CHFAXA Investment Managers
91
CHF55.59n/a33.440.786.2
328[+]AXA World Funds Framlington Talents Global A Cap EURAXA Investment Managers
106
EUR401.94n/a31.451.677.8
329[+]AXA World Funds Global Aggregate Bonds A Cap EURAXA Investment Managers
73
EUR31.03n/a9.89.212.5
330[+]AXA World Funds Global Credit Bonds A Cap USDAXA Investment Managers
78
USD114.29n/a21.549.4n/a
331[+]AXA World Funds Global Emerging Markets Bonds F Cap USDAXA Investment Managers
87
USD297.42n/a26.960.257.1
332[+]AXA World Funds Global High Yield Bonds F Cap USDAXA Investment Managers
34
USD140.04n/a36.550.874.1
333[+]AXA World Funds Global Strategic Bonds F Cap USDAXA Investment Managers
19
USD122.84n/a26.545.4n/a
334[+]AXA World Funds Optimal Income A Cap EURAXA Investment Managers
73
EUR183.18n/a18.514.028.5
335[+]AXA World Funds Universal Inflation Bonds F Cap USDAXA Investment Managers
29
USD94.92n/a15.126.9n/a
336[+]Axiom Obligataire RAxiom Alternative Investments
72
EUR1,732.03n/a21.04.034.5
337[+]Baillie Gifford Worldwide Global Credit B Acc USDBaillie Gifford & Co (IRL)
76
USD10.83n/a25.9n/an/a
338[+]Baillie Gifford Worldwide Japanese B Hedged Acc USDBaillie Gifford & Co (IRL)
137
USD9.85n/a44.4n/an/a
339[+]Baker Steel Precious Metals A2 EURBaker Steel Capital Mgrs LLP
267
EUR339.140.0092.9157.11.1
340[+]Barclays Adventurous Growth Portfolio USD A AccBarclays
99
USD11.770.0034.052.371.2
341[+]Barclays Capital ComBATS K JPYBarclays
120
JPY9,133.00n/a3.521.6-21.2
342[+]Barclays Equity Euro CBarclays
105
EUR16.730.0019.620.173.3
343[+]Barclays Equity Euro Small & Mid Cap C Acc EURBarclays
107
EUR19.84n/a22.730.0n/a
344[+]Barclays Euro Convertible Bond CBarclays
72
EUR13.660.0012.410.529.7
345[+]Barclays Global Access Global Government Bond I Acc GBPBarclays
78
GBP0.750.99-0.47.0n/a
346[+]Barclays GlobalAccess Emerging Market Equity I Acc EURBarclays
119
EUR0.750.9936.37.0-0.7
347[+]Barclays GlobalAccess Emerging Markets Debt I Dis GBPBarclays
86
GBP0.784.8311.317.7n/a
348[+]Barclays GlobalAccess Europe (ex-UK) Alpha I Acc GBPBarclays
100
GBP1.711.798.817.6n/a
349[+]Barclays GlobalAccess Global Corporate Bond I Acc GBPBarclays
77
GBP0.772.696.812.9n/a
350[+]Barclays GlobalAccess Global High Yield Bond I Acc EURBarclays
82
EUR1.145.0129.213.934.7
351[+]Barclays GlobalAccess Global Inflation Linked Bond I Acc GBPBarclays
86
GBP0.920.568.315.6n/a
352[+]Barclays GlobalAccess Japan I Acc GBPBarclays
126
GBP1.180.6323.532.6n/a
353[+]Barclays GlobalAccess Pacific Rim (ex-Japan) I Acc GBPBarclays
113
GBP1.851.0224.623.1n/a
354[+]Barclays GlobalAccess UK Alpha I Acc EURBarclays
91
EUR2.672.0034.119.2n/a
355[+]Barclays GlobalAccess UK Opportunities I Acc GBPBarclays
87
GBP2.862.1924.422.6n/a
356[+]Barclays MultiManager Portfolio 1 D Inc GBPBarclays
23
GBP10.370.006.16.915.1
357[+]Barclays MultiManager Portfolio 2 R Inc USDBarclays
40
USD10.160.0025.245.255.8
358[+]Barclays MultiManager Portfolio 3 D Acc USDBarclays
53
USD12.420.0030.5n/an/a
359[+]Barclays MultiManager Portfolio 4 R Inc GBPBarclays
63
GBP13.010.0016.915.840.1
360[+]Barclays MultiManager Portfolio 5 D IncBarclays
69
GBP13.010.0018.215.941.7
361[+]Barclays Sterling BondBarclays
42
GBP0.485.108.020.331.0
362[+]Barclays UK Balanced Plus Portfolio B DisBarclays
57
GBP1.321.8615.711.333.6
363[+]Barclays UK Balanced Portfolio B DisBarclays
53
GBP1.311.9614.610.431.1
364[+]Barclays UK Growth Plus Portfolio B DisBarclays
74
GBP1.830.7518.613.242.0
365[+]Barclays UK Growth Portfolio B DisBarclays
65
GBP1.700.8616.511.535.8
366[+]Barclays Wealth 6 Year Cashbuilder Issue 5Barclays
12
GBX129.15130.15n/a3.89.829.8
367[+]Barclays Wealth Emerging Markets Optimiser Account Issue 4Barclays
10
GBX99.25100.25n/a1.24.17.2
368[+]Barclays Wealth Emerging Markets Optimiser Account Issue 7Barclays
34
GBX103.51104.51n/a5.85.98.1
369[+]Barclays Wealth Global Beta Portfolio 1 EUR A AccBarclays
76
EUR13.050.0015.410.111.6
370[+]Barclays Wealth Global Beta Portfolio 1 JPY ABarclays
114
JPY1,046.380.0019.929.7-0.8
371[+]Barclays Wealth Global Beta Portfolio 1 USD A AccBarclays
87
USD13.150.0022.546.443.7
372[+]Barclays Wealth Global Beta Portfolio 2 A Inc GBPBarclays
45
GBP12.900.0012.912.620.8
373[+]Barclays Wealth Global Beta Portfolio 2 EUR A AccBarclays
86
EUR13.770.0020.813.217.0
374[+]Barclays Wealth Global Beta Portfolio 3 A GBPBarclays
61
GBP14.080.0018.917.630.8
375[+]Barclays Wealth Global Beta Portfolio 3 EUR A AccBarclays
97
EUR16.530.0027.118.226.7

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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