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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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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

Fund size   £

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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  
1951[+]Legg Mason Brandywine Global High Yield A Inc USDLegg Mason Global Funds Plc
n/a
SHn/a
1952[+]Legg Mason Brandywine Global Fixed Income Absolute Return E Acc USDLegg Mason Global Funds Plc
84
37.5
1953[+]Legg Mason Brandywine Global Fixed Income A (S) Dis USDLegg Mason Global Funds Plc
80
31.9
1954[+]Legg Mason Brandywine Global Dynamic US Equity A Acc USDLegg Mason Global Funds Plc
n/a
SHn/a
1955[+]Legg Mason Brandywine Global Credit Opportunities A Acc USDLegg Mason Global Funds Plc
83
SHn/a
1956[+]LCL Actions EmergentsAmundi
128
43.5
1957[+]Lazard US Equity Concentrated Ret Inc USDLazard (IRL)
n/a
SHn/a
1958[+]Lazard UK Omega Equity Ret GBPLazard (IRL)
95
11.7
1959[+]Lazard Thematic Global I Acc USDLazard (IRL)
100
43.5
1960[+]Lazard Mena Inst Acc USDLazard (IRL)
121
39.9
1961[+]Lazard Japanese Strategic Equity Ret Hedged C Inc GBPLazard (IRL)
188
19.0
1962[+]Lazard Global Strategic Equity Inst EA Dis GBPLazard (IRL)
n/a
n/a
1963[+]Lazard Global Managed Volatility Inst Hedged Acc GBPLazard (IRL)
n/a
n/a
1964[+]Lazard Global Equity Select Inst EALazard (IRL)
103
48.7
1965[+]Lazard Global Equity Income Ret C Acc GBPLazard (IRL)
n/a
n/a
1966[+]Lazard Global Equity Franchise Inst EA Acc USDLazard (IRL)
n/a
SHn/a
1967[+]Lazard Global Active Sterling High Quality Bond RetLazard (IRL)
50
SS17.7
1968[+]Lazard Global Active Pan European Equity EURLazard (IRL)
99
17.8
1969[+]Lazard Global Active Global Listed Infrastructure Equity Ret Hedged USDLazard (IRL)
n/a
n/a
1970[+]Lazard Global Active Global High Quality BondLazard (IRL)
72
23.4
1971[+]Lazard Global Active European Equity EURLazard (IRL)
109
17.6
1972[+]Lazard Global Active Emerging Market Equity Inst S Dis GBPLazard (IRL)
137
39.7
1973[+]Lazard Global Active Developing Markets Equity Ret Dis USDLazard (IRL)
140
34.2
1974[+]Lazard Emerging World Ret C Acc GBPLazard (IRL)
113
n/a
1975[+]Lazard Emerging Markets Total Return Debt Inst Hedged B Inc EURLazard (IRL)
83
-1.9
1976[+]Lazard Emerging Markets Local Debt Inst I Acc CHFLazard (IRL)
n/a
n/a
1977[+]Lazard Emerging Markets Debt Blend Inst K Acc EURLazard (IRL)
n/a
n/a
1978[+]Lazard Emerging Markets Core Equity Inst Acc USDLazard (IRL)
131
36.1
1979[+]Lazard Emerging Markets Bond Inst Hedged Acc EURLazard (IRL)
87
18.6
1980[+]Lapis Top 25 Dividend Yield B1 Acc USDGAM (Luxembourg) S.A.
n/a
SHn/a
1981[+]La Mondiale UK Fixed InterestLa Mondiale Europartner
55
11.5
1982[+]La Mondiale UK EquityLa Mondiale Europartner
96
9.6
1983[+]La Mondiale UK CashLa Mondiale Europartner
2
-0.1
1984[+]La Mondiale Japanese Equity GBPLa Mondiale Europartner
137
54.1
1985[+]La Mondiale International Equity GBPLa Mondiale Europartner
99
52.7
1986[+]La Mondiale Global BondLa Mondiale Europartner
79
28.3
1987[+]La Mondiale European Equity EURLa Mondiale Europartner
68
2.3
1988[+]La Mondiale Euro CashLa Mondiale Europartner
69
-0.4
1989[+]La Mondiale Euro BondLa Mondiale Europartner
75
10.2
1990[+]La Mondiale American EquityLa Mondiale Europartner
107
65.2
1991[+]La Fayette Opportunity EURLa Fayette
57
USn/a
1992[+]Kotak India Mid Cap A GBPKotak Mahindra (UK) Ltd
147
180.0
1993[+]Kotak India Growth A Acc USDKotak Mahindra (UK) Ltd
130
109.4
1994[+]Kotak India Fixed Income A AccKotak Mahindra (UK) Ltd
80
SHn/a
1995[+]Keynes Dynamic Beta Strategy A GBPWadhwani Asset Management LLP
n/a
SHn/a
1996[+]Kestrel Global Portfolio B GBPKestrel Investment Partners
60
n/a
1997[+]Kempen (Lux) Sustainable Small-cap B Acc EURKempen Capital Management N.V.
99
22.0
1998[+]Kempen (Lux) Global Sovereign Fundamental Index BNKempen Capital Management N.V.
73
PT23.8
1999[+]Kempen (Lux) Global Property AKempen Capital Management N.V.
111
50.4
2000[+]Kempen (Lux) Global High Dividend AKempen Capital Management N.V.
111
44.4
2001[+]Kempen (Lux) European Smallcap AKempen Capital Management N.V.
95
35.6
2002[+]Kempen (Lux) European High Dividend AKempen Capital Management N.V.
103
12.3
2003[+]Kempen (Lux) Euro Credit AKempen Capital Management N.V.
71
14.4
2004[+]KBI Institutional North America Equity D Dis EURKBI Global Investors
108
SHn/a
2005[+]KBI Institutional Long Bond Plus 1KBI Global Investors
109
PT33.4
2006[+]KBI Institutional Energy Solutions C USDKBI Global Investors
135
SH9.3
2007[+]KBI Institutional Emerging Markets Equity B Dis GBPKBI Global Investors
128
39.0
2008[+]KBI Institutional Dividend Plus Global H EURKBI Global Investors
99
51.6
2009[+]KB Elite Sterling Fixed Income A Reporting Inc GBPKleinwort Benson CI InvtMgtLtd
27
13.3
2010[+]KB Elite Multi-Asset Growth B Non Reporting Acc GBPKleinwort Benson CI InvtMgtLtd
74
26.8
2011[+]KB Elite Multi-Asset Conservative B Non Reporting Acc EURKleinwort Benson CI InvtMgtLtd
105
11.0
2012[+]KB Elite Multi-Asset Balanced B Non Reporting Acc EURKleinwort Benson CI InvtMgtLtd
116
17.4
2013[+]Kames Strategic Global Bond B Inc USDKames Capital
17
43.0
2014[+]Kames Investment Grade Global Bond B Inc USDKames Capital
22
52.3
2015[+]Kames High Yield Global Bond B Inc USDKames Capital
35
51.1
2016[+]Kames Global Sustainable Equity B Acc GBPKames Capital
n/a
SHn/a
2017[+]Kames Global Equity Market Neutral B Acc GBPKames Capital
n/a
SHn/a
2018[+]Kames Global Equity Income B Inc EURKames Capital
90
49.0
2019[+]Kames Global Diversified Growth B Hedged Acc GBPKames Capital
n/a
SHn/a
2020[+]Kames Equity Market Neutral Plus B Acc GBPKames Capital
45
SHn/a
2021[+]Kames Equity Market Neutral B Acc GBPKames Capital
19
SHn/a
2022[+]Kames Emerging Market Bond B Acc USDKames Capital
n/a
SHn/a
2023[+]Kames Absolute Return Bond Global B Inc GBPKames Capital
n/a
SHn/a
2024[+]Kames Absolute Return Bond Constrained B Hedged Acc GBPKames Capital
3
SHn/a
2025[+]Kames Absolute Return Bond B Inc GBPKames Capital
7
n/a

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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