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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 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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For Sale In

Fund performance league table: 4189 funds

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4189 funds
Rank ChartFund Group FE Risk Score What is FE Risk Score?FE Crown Rating What is FE Crown Rating?3y  
1951[+]LGBR Ascension Ret GBPLGBR Capital LLP
61
US17.7
1952[+]LGBR Ascension Closed End RetailLGBR Capital LLP
62
US17.6
1953[+]LFIS Vision UCITS Premia ISLa Francaise Investment Solutions
71
SHn/a
1954[+]LFIS Vision Premia Opportunities RECLa Francaise Investment Solutions
n/a
SHn/a
1955[+]Leo European Active A EURLeo Fund Managers Limited
100
US-11.6
1956[+]Legg Mason Western Asset US Short-Term Government A(D) Dis USDLegg Mason Global Funds Plc
67
SS22.9
1957[+]Legg Mason Western Asset US Money Market B(D) Dis USDLegg Mason Global Funds Plc
67
23.5
1958[+]Legg Mason Western Asset US High Yield E Acc USDLegg Mason Global Funds Plc
75
27.5
1959[+]Legg Mason Western Asset US Core Plus Bond A(D) Dis USDLegg Mason Global Funds Plc
71
38.4
1960[+]Legg Mason Western Asset US Core Bond GA Acc USDLegg Mason Global Funds Plc
71
41.6
1961[+]Legg Mason Western Asset US Adjustable Rate LG AccLegg Mason Global Funds Plc
67
18.9
1962[+]Legg Mason Western Asset Short Duration High Income Bond C(D) Dis USDLegg Mason Global Funds Plc
73
30.0
1963[+]Legg Mason Western Asset Macro Opportunities Bond X Acc USDLegg Mason Global Funds Plc
49
SHn/a
1964[+]Legg Mason Western Asset Global Multi Strategy A(D) Dis USDLegg Mason Global Funds Plc
72
33.2
1965[+]Legg Mason Western Asset Global Inflation Management A(A) Dis USDLegg Mason Global Funds Plc
78
SS36.2
1966[+]Legg Mason Western Asset Global High Yield A(D) Dis USDLegg Mason Global Funds Plc
77
25.1
1967[+]Legg Mason Western Asset Global Credit A(D) Dis USDLegg Mason Global Funds Plc
70
38.8
1968[+]Legg Mason Western Asset Global Blue Chip Bond A (M) Dis USDLegg Mason Global Funds Plc
67
29.4
1969[+]Legg Mason Western Asset Euro High Yield A(D) Dis EURLegg Mason Global Funds Plc
60
18.7
1970[+]Legg Mason Western Asset Euro Core Plus Bond A(D) Dis EURLegg Mason Global Funds Plc
68
20.1
1971[+]Legg Mason Western Asset Emerging Markets Total Return Bond E (M) Hedged Dis EURLegg Mason Global Funds Plc
78
8.0
1972[+]Legg Mason Western Asset Emerging Markets Corporate Bond A (M)Legg Mason Global Funds Plc
73
30.2
1973[+]Legg Mason Western Asset Asian Opportunities A(D) Dis USDLegg Mason Global Funds Plc
71
32.1
1974[+]Legg Mason Royce US Smaller Companies A(A) Dis USDLegg Mason Global Funds Plc
112
27.7
1975[+]Legg Mason Royce US Small Cap Opportunity X GBPLegg Mason Global Funds Plc
126
32.1
1976[+]Legg Mason QS MV Global Equity Growth and Income GA Acc USDLegg Mason Global Funds Plc
89
51.1
1977[+]Legg Mason QS MV European Equity Growth and Income GE Acc USDLegg Mason Global Funds Plc
88
26.6
1978[+]Legg Mason QS MV Asia Pacific ex Japan Equity Growth and Income GA Acc USDLegg Mason Global Funds Plc
104
42.2
1979[+]Legg Mason QS Investors Multi Asset US Performance E Acc USDLegg Mason Gbl Solutions plc
78
34.5
1980[+]Legg Mason QS Investors Multi Asset US Conservative E Acc USDLegg Mason Gbl Solutions plc
69
35.7
1981[+]Legg Mason QS Investors Multi Asset US Balanced E Acc USDLegg Mason Gbl Solutions plc
73
34.0
1982[+]Legg Mason QS Investors Multi Asset Euro Performance A Acc EURLegg Mason Gbl Solutions plc
72
SH23.9
1983[+]Legg Mason QS Investors Multi Asset Euro Conservative A Acc EURLegg Mason Gbl Solutions plc
60
19.0
1984[+]Legg Mason QS Investors Multi Asset Euro Balanced A Acc EURLegg Mason Gbl Solutions plc
64
SH22.3
1985[+]Legg Mason QS Emerging Markets Equity E Acc USDLegg Mason Global Funds Plc
123
7.7
1986[+]Legg Mason Permal Alternative Income Strategy A Acc USDLegg Mason Global Funds Plc
n/a
SHn/a
1987[+]Legg Mason Opportunity A(A) Dis USDLegg Mason Global Funds Plc
156
36.5
1988[+]Legg Mason Martin Currie North American A GBPLegg Mason Global Funds Plc
97
46.7
1989[+]Legg Mason Martin Currie Japan Absolute Alpha A (PF) (Hedged) GBPLegg Mason Global Funds Plc
58
US-6.9
1990[+]Legg Mason Martin Currie Greater China A USDLegg Mason Global Funds Plc
127
44.6
1991[+]Legg Mason Martin Currie Global Resources X GBPLegg Mason Global Funds Plc
132
-0.4
1992[+]Legg Mason Martin Currie European Absolute Alpha A (PF) EURLegg Mason Global Funds Plc
53
US7.4
1993[+]Legg Mason Martin Currie Asia Pacific A USDLegg Mason Global Funds Plc
117
23.6
1994[+]Legg Mason ClearBridge Value A(A) Dis USDLegg Mason Global Funds Plc
110
49.7
1995[+]Legg Mason ClearBridge US Large Cap Growth GA Acc USDLegg Mason Global Funds Plc
103
73.5
1996[+]Legg Mason ClearBridge US Appreciation A(A) Dis USDLegg Mason Global Funds Plc
98
52.8
1997[+]Legg Mason ClearBridge US Aggressive Growth A(A) Dis USDLegg Mason Global Funds Plc
118
43.7
1998[+]Legg Mason Clearbridge Tactical Dividend Income C USDLegg Mason Global Funds Plc
98
SHn/a
1999[+]Legg Mason ClearBridge Growth B(A) Dis USDLegg Mason Global Funds Plc
114
42.4
2000[+]Legg Mason ClearBridge Global Equity Income A Acc USDLegg Mason Global Funds Plc
96
SHn/a
2001[+]Legg Mason ClearBridge Global Equity C(A) Dis USDLegg Mason Global Funds Plc
98
22.0
2002[+]Legg Mason Brandywine Global Opportunistic Fixed Income X Hedged Acc EURLegg Mason Global Funds Plc
73
5.2
2003[+]Legg Mason Brandywine Global Income Optimiser C Inc USDLegg Mason Global Funds Plc
81
n/a
2004[+]Legg Mason Brandywine Global Fixed Income Absolute Return E Acc USDLegg Mason Global Funds Plc
76
SH22.7
2005[+]Legg Mason Brandywine Global Fixed Income A (S) Dis USDLegg Mason Global Funds Plc
72
25.1
2006[+]Legg Mason Brandywine Global Credit Opportunities A Acc USDLegg Mason Global Funds Plc
75
SHn/a
2007[+]LCL Actions EmergentsAmundi
118
22.9
2008[+]Lazard UK Omega Equity Ret GBPLazard (IRL)
93
11.4
2009[+]Lazard Thematic Global I USDLazard (IRL)
95
33.7
2010[+]Lazard Mena Inst Acc USDLazard (IRL)
110
SH30.9
2011[+]Lazard Japanese Strategic Equity C Ret Hedged Inc GBPLazard (IRL)
196
-0.7
2012[+]Lazard Global Strategic Equity Inst EA Dis GBPLazard (IRL)
n/a
n/a
2013[+]Lazard Global Managed Volatility InstLazard (IRL)
86
56.7
2014[+]Lazard Global Equity Select Inst EALazard (IRL)
97
36.8
2015[+]Lazard Global Active Sterling High Quality Bond RetLazard (IRL)
44
SS24.1
2016[+]Lazard Global Active Pan European Equity EURLazard (IRL)
90
18.3
2017[+]Lazard Global Active Global Listed Infrastructure Equity Inst Hedged EURLazard (IRL)
81
45.0
2018[+]Lazard Global Active Global High Quality BondLazard (IRL)
64
22.9
2019[+]Lazard Global Active European Equity EURLazard (IRL)
94
21.5
2020[+]Lazard Global Active Emerging Market Equity Inst USDLazard (IRL)
127
12.1
2021[+]Lazard Global Active Developing Markets Equity Ret USDLazard (IRL)
135
11.7
2022[+]Lazard Emerging World RetLazard (IRL)
107
17.2
2023[+]Lazard Emerging Markets Total Return Debt Ret Hedged EURLazard (IRL)
72
1.6
2024[+]Lazard Emerging Markets Local Debt Inst Hedged GBPLazard (IRL)
75
-16.7
2025[+]Lazard Emerging Markets Debt Blend Inst Acc USDLazard (IRL)
81
22.8

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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