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Performance

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5 year at least   %

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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

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: 4089 funds

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4089 funds
Rank ChartFund Group Focus FE Risk Score What is FE Risk Score?Currency BidOfferYield 1y 3y 5y  
676[+]Capital Group Emerging Markets Total Opportunities (LUX) Zd GBPCapital Group
80
GBP8.38n/a36.935.531.2
677[+]Capital Group Euro Bond Fund (LUX) Zd GBPCapital Group
77
GBP11.05n/a12.820.331.3
678[+]Capital Group Euro Corporate Bond (LUX) Zd GBPCapital Group
72
GBP10.59n/a16.918.833.9
679[+]Capital Group European Growth and Income Fund (LUX) Zd GBPCapital Group
91
GBP19.84n/a26.430.387.1
680[+]Capital Group Global Absolute Income Grower (LUX) Zd GBPCapital Group
85
GBP9.51n/a24.540.566.2
681[+]Capital Group Global Allocation (LUX) Zgd GBPCapital Group
80
GBP11.46n/a28.447.8n/a
682[+]Capital Group Global Bond Fund (LUX) Zd GBPCapital Group
75
GBP15.09n/a14.031.425.3
683[+]Capital Group Global Equity (LUX) Zd GBPCapital Group
104
GBP18.63n/a38.950.493.1
684[+]Capital Group Global Growth and Income (LUX) Zd GBPCapital Group
97
GBP15.37n/a39.048.687.2
685[+]Capital Group Global High Income Opportunities (LUX) Zd GBPCapital Group
44
GBP25.18n/a42.046.457.7
686[+]Capital Group Investment Company of America (LUX) ZD GBPCapital Group
n/a
GBP9.00n/an/an/an/a
687[+]Capital Group Japan Equity (LUX) Zd GBPCapital Group
155
GBP10.67n/a42.456.493.9
688[+]Capital Group New Perspective (LUX) A7 GBPCapital Group
n/a
GBP8.57n/a37.3n/an/a
689[+]Capital Group World Dividend Growers (LUX) Zd GBPCapital Group
91
GBP11.04n/a28.142.6n/a
690[+]Capital International Emerging Markets Fund (LUX) Zd GBPCapital Group
130
GBP63.61n/a52.030.517.8
691[+]Capital International High Income PlcCapitaI International Fund Managers Ltd
44
GBP0.560.594.798.612.428.6
692[+]Capital International Sterling Roll Up PlcCapitaI International Fund Managers Ltd
42
GBP3.904.130.0011.419.636.0
693[+]Capital Strategy Fixed Income Allocator A USDCapital Strategy Fds Sicav plc
78
USD118.720.0018.637.241.7
694[+]Carmignac Emergents A EUR AccCarmignac Gestion
115
EUR858.41n/a30.031.821.4
695[+]Carmignac Euro-Patrimoine A EUR AccCarmignac Gestion
79
EUR312.20n/a21.97.710.4
696[+]Carmignac Investissement A EUR AccCarmignac Gestion
94
EUR1,206.43n/a26.328.339.3
697[+]Carmignac Patrimoine A EUR AccCarmignac Gestion
73
EUR663.04n/a18.022.325.6
698[+]Carmignac Portfolio Capital Cube F USD Acc HdgCarmignac Gestion
32
USD103.72n/a19.0n/an/a
699[+]Carmignac Portfolio Capital Plus F EUR AccCarmignac Gestion
11
EUR1,034.23n/a11.56.913.2
700[+]Carmignac Portfolio China F GBP AccCarmignac Gestion
n/a
GBP114.50n/a35.6n/an/a
701[+]Carmignac Portfolio Commodities F GBP Acc HdgCarmignac Gestion
116
GBP72.92n/a34.016.8-12.0
702[+]Carmignac Portfolio Emergents F GBP AccCarmignac Gestion
112
GBP123.76n/a30.532.6n/a
703[+]Carmignac Portfolio Emerging Discovery F USD Acc HdgCarmignac Gestion
101
USD131.23n/a40.782.1n/a
704[+]Carmignac Portfolio Emerging Patrimoine F GBP Acc HdgCarmignac Gestion
70
GBP112.03n/a21.428.012.1
705[+]Carmignac Portfolio Euro-Entrepreneurs F EUR AccCarmignac Gestion
87
EUR141.03n/a26.334.6n/a
706[+]Carmignac Portfolio Euro-Patrimoine F EUR AccCarmignac Gestion
46
EUR104.43n/a23.79.7n/a
707[+]Carmignac Portfolio Global Bond F EUR AccCarmignac Gestion
39
EUR132.16n/a21.734.838.9
708[+]Carmignac Portfolio Grande Europe F EUR AccCarmignac Gestion
87
EUR120.81n/a29.021.241.8
709[+]Carmignac Portfolio Investissement F GBP AccCarmignac Gestion
93
GBP126.03n/a25.929.8n/a
710[+]Carmignac Portfolio Patrimoine F GBP AccCarmignac Gestion
54
GBP121.62n/a18.924.2n/a
711[+]Carmignac Portfolio Securite F EUR AccCarmignac Gestion
8
EUR106.41n/a12.59.8n/a
712[+]Carmignac Securite A EUR AccCarmignac Gestion
68
EUR1,755.44n/a12.29.014.8
713[+]Carnegie Medical 1A EURCarnegie Asset Management
149
EUR97.97n/a21.739.5111.3
714[+]Carnegie Nordic Markets 1A USDCarnegie Asset Management
113
USD147.03n/a27.646.084.1
715[+]Carnegie Worldwide 1A USDCarnegie Asset Management
105
USD105.16n/a27.950.778.9
716[+]Carnegie Worldwide Emerging Markets Equities 1A USDCarnegie Asset Management
145
USD28.59n/a46.1-3.9-15.7
717[+]Carnegie Worldwide Ethical 1A EURCarnegie Asset Management
107
EUR16.76n/a25.248.879.0
718[+]Carnegie Worldwide Stable Equities 1A EURCarnegie Asset Management
102
EUR24.82n/a26.733.444.4
719[+]Castellain Income ACastellain Capital LLP
43
GBP1.280.0015.725.2n/a
720[+]Castellain Value ACastellain Capital LLP
49
GBP3.89n/a22.730.388.9
721[+]Castle Trust Greater London Foundation Housa 10 Year Feb-15Castle Trust
80
GBX137.49n/a9.8n/an/a
722[+]Castle Trust Greater London Foundation Housa 5 Year Feb-15Castle Trust
57
GBX124.99n/a7.0n/an/a
723[+]Castle Trust Greater London Growth Housa 2 Year Feb-15Castle Trust
57
GBX124.99n/a7.0n/an/a
724[+]Castle Trust Greater London Growth Housa 5 Year Feb-15Castle Trust
80
GBX137.49n/a9.8n/an/a
725[+]Castle Trust Growth Housa 10 Year Oct-12Castle Trust
56
GBX160.92n/a5.441.9n/a
726[+]Castle Trust Growth Housa 3 Year Jan-14Castle Trust
45
GBX134.12n/a4.332.1n/a
727[+]Castle Trust Growth Housa 5 Year Oct-12Castle Trust
51
GBX153.76n/a5.037.5n/a
728[+]Castle Trust Income Housa 10 Year Oct-12Castle Trust
38
GBX135.843.003.826.0n/a
729[+]Castle Trust Income Housa 3 Year Jan-14Castle Trust
38
GBX127.292.003.625.9n/a
730[+]Castle Trust Income Housa 5 Year Oct-12Castle Trust
38
GBX135.842.503.826.0n/a
731[+]Castle Trust Protected Housa 5 Year Feb-14Castle Trust
37
GBX125.92n/a3.725.9n/a
732[+]Castle Trust UK Foundation Housa 10 Year Feb-15Castle Trust
53
GBX121.96n/a5.3n/an/a
733[+]Castle Trust UK Foundation Housa 5 Year Feb-15Castle Trust
37
GBX114.64n/a3.7n/an/a
734[+]Castle Trust UK Growth Housa 2 Year Feb-15Castle Trust
37
GBX114.64n/a3.7n/an/a
735[+]Castle Trust UK Growth Housa 5 Year Feb-15Castle Trust
53
GBX121.96n/a5.3n/an/a
736[+]CBK Mattioli Woods Structured Products R GBPCommerz Funds Solutions S.A.
n/a
GBP1.00n/an/an/an/a
737[+]CC Asia Alpha GBPCoupland Cardiff Asset Mgt LLP
104
GBP12.010.0018.7-9.1-7.1
738[+]CC Asia Focus A Acc USDCoupland Cardiff Asset Mgt LLP
n/a
USD10.59n/an/an/an/a
739[+]CC Asian Evolution A USDCoupland Cardiff Asset Mgt LLP
99
USD14.940.0031.434.461.3
740[+]CC Japan Alpha GBPCoupland Cardiff Asset Mgt LLP
163
GBP11.570.006.226.5144.2
741[+]CG Capital Value VCG Asset Management Ltd
30
GBP149.74n/a14.729.536.4
742[+]CG DollarCG Asset Management Ltd
78
GBP159.930.0019.640.431.1
743[+]CG Gearing PortfolioCG Asset Management Ltd
27
GBP31,067.070.0015.524.231.4
744[+]CG Real Return IncCG Asset Management Ltd
70
GBP204.74n/a22.335.624.2
745[+]CGS FMS Global Evolution EM Blended Debt RGlobal Evolution Manco
95
EUR110.44110.44n/a24.37.26.0
746[+]CGS FMS Global Evolution EM Debt and FX RGlobal Evolution Manco
86
EUR110.53110.53n/a28.0n/an/a
747[+]CGS FMS Global Evolution EM Local Debt R EURGlobal Evolution Manco
94
EUR106.78106.78n/a29.126.5n/a
748[+]CGS FMS Global Evolution Frontier Markets R EURGlobal Evolution Manco
74
EUR140.36140.36n/a28.120.835.7
749[+]CGWM Select Affinity A GBPCanaccord Genuity Wealth Mgmnt
64
GBP1.75n/a20.121.142.3
750[+]CGWM Select Diversity B GBPCanaccord Genuity Wealth Mgmnt
49
GBP1.54n/a15.117.332.4

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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