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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

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: 4090 funds

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4090 funds
Rank ChartFund Group Focus FE Risk Score What is FE Risk Score?Currency BidOfferYield 1y 3y 5y  
1351[+]GAM Star India Equity Ord USDGAM Fund Management Ltd
135
USD10.44n/a43.3n/an/a
1352[+]GAM Star Japan Equity Acc JPYGAM Fund Management Ltd
134
JPY1,804.300.0035.368.589.0
1353[+]GAM Star Keynes Quantitative Strategies Acc EURGAM Fund Management Ltd
70
EUR11.090.00-1.210.98.5
1354[+]GAM Star MBS Total Return Inst Acc USDGAM Fund Management Ltd
7
USD10.96n/a18.6n/an/a
1355[+]GAM Star North of South EM Equity Inst USDGAM Fund Management Ltd
126
USD11.34n/a57.943.858.0
1356[+]GAM Star Technology Inst Acc USDGAM Fund Management Ltd
149
USD18.35n/a49.841.9104.9
1357[+]GAM Star US All Cap Equity Acc USDGAM Fund Management Ltd
119
USD15.310.0034.151.4103.0
1358[+]GAM Star Worldwide Equity Inc USDGAM Fund Management Ltd
109
USD2,701.030.6628.720.760.5
1359[+]GAM Systematic Alternative Risk Premia USDGAM Fund Management Ltd
87
USD11.51n/a15.748.9n/a
1360[+]Garraway Financial Trends B USDGarraway Capital Management LLP
124
USD1,274.83n/a12.491.6n/a
1361[+]Gateway to India COcean Dial Asset Management
135
GBP210.99n/a56.6111.4n/a
1362[+]Generali SRI Ageing Population DGenerali Investment SICAV
n/a
EUR104.55n/a17.5n/an/a
1363[+]Generali UK Equity Income D GBPGenerali Investment SICAV
n/a
GBP112.23n/a18.7n/an/a
1364[+]Genesis Emerging Markets Investment Company EGenesis Fund Managers
117
USD59.92n/a40.541.240.1
1365[+]GIS Euro Bond 1-3 Years DXGenerali Investment SICAV
69
EUR118.79122.35n/a7.86.410.9
1366[+]GIS Euro Bond 3-5 Years DXGenerali Investment SICAV
72
EUR133.83137.85n/a8.611.420.1
1367[+]GIS Euro Bond DXGenerali Investment SICAV
77
EUR163.74n/a7.616.726.8
1368[+]GIS Euro Corporate Bond DXGenerali Investment SICAV
71
EUR156.60n/a11.911.021.4
1369[+]GIS Euro Covered Bond DXGenerali Investment SICAV
72
EUR124.66n/a8.310.622.5
1370[+]GIS Euro Short Term Bond DXGenerali Investment SICAV
70
EUR122.27n/a7.13.84.7
1371[+]GIS SRI European Equity DXGenerali Investment SICAV
130
EUR160.08n/a21.116.641.5
1372[+]GIS Total Return Euro High Yield DXGenerali Investment SICAV
69
EUR205.60n/a16.110.724.9
1373[+]GLG European Long Short A Restricted USDGLG Partners LP
84
USD354.750.0015.333.241.3
1374[+]GLG Global Convertible A USDGLG Partners LP
82
USD352.38n/a20.837.648.0
1375[+]GLG Man Numeric Emerging Markets Equity D USDGLG Partners LP
n/a
USD115.63n/an/an/an/a
1376[+]GLG Market Neutral A USDGLG Partners LP
88
USD575.000.0036.039.272.2
1377[+]Global Equity Income AD EURUnion Bancaire Privee
97
EUR118.43n/a21.0n/an/a
1378[+]Global Protected Profits Protected NAVJP Morgan Mansart Mgmt Ltd
4
GBP1.010.000.03.36.1
1379[+]Gramercy Allocator Emerging Market Debt I GBPGramercy Funds Management LLC
91
GBP126.55n/a32.528.9n/a
1380[+]Gramercy Corporate Emerging Market Debt R Hedged Acc EURGramercy Funds Management LLC
84
EUR102.33n/a27.9n/an/a
1381[+]Gramercy High Yield Corporate Emerging Market Debt USDGramercy Funds Management LLC
94
USD109.94n/a37.541.6n/a
1382[+]GS Absolute Return Tracker Portfolio I AccGoldman Sachs
36
USD10.64n/a20.5n/an/a
1383[+]GS Asia Equity Portfolio BGoldman Sachs
121
USD23.01n/a28.241.743.8
1384[+]GS Asia High Yield Bond Portfolio E EUR HedgedGoldman Sachs
n/a
EUR106.46n/a22.3n/an/a
1385[+]GS Balanced Allocation Portfolio R AccGoldman Sachs
n/a
USD109.09n/an/an/an/a
1386[+]GS BRICs Equity Portfolio Base AccGoldman Sachs
139
USD14.71n/a46.242.922.6
1387[+]GS China Opportunity Equity Portfolio Base Acc USDGoldman Sachs
162
USD13.26n/a37.444.350.3
1388[+]GS EFI Long Short Risk Premia Portfolio C 3x AccGoldman Sachs
50
USD9.78n/a1.7n/an/a
1389[+]GS Emerging Markets CORE Equity Portfolio Other Currency Close Acc EURGoldman Sachs
136
EUR10.48n/an/an/an/a
1390[+]GS Emerging Markets Corporate Bond Portfolio AGoldman Sachs
26
USD111.79n/a24.954.964.1
1391[+]GS Emerging Markets Debt Blend Portfolio IGoldman Sachs
65
USD78.78n/a26.739.0n/a
1392[+]GS Emerging Markets Debt Local Portfolio A AccGoldman Sachs
104
USD10.51n/a24.717.54.3
1393[+]GS Emerging Markets Debt Portfolio E AccGoldman Sachs
44
EUR26.40n/a25.457.159.7
1394[+]GS Emerging Markets Equity Portfolio BGoldman Sachs
126
USD28.01n/a34.045.029.5
1395[+]GS Euro Fixed Income Portfolio AGoldman Sachs
74
EUR11.97n/a8.513.025.1
1396[+]GS Euro Government Liquid Reserves Administration AccGoldman Sachs
69
EUR10,200.88-1.056.52.0-1.0
1397[+]GS Euro Liquid Reserves AdministrationGoldman Sachs
69
EUR1.00-0.486.92.6-0.4
1398[+]GS Euro Short Duration Bond Plus Portfolio P AccGoldman Sachs
68
EUR10.37n/a10.2n/an/a
1399[+]GS Europe CORE Equity Portfolio A EURGoldman Sachs
104
EUR13.72n/a28.432.879.1
1400[+]GS Europe Equity Partners Portfolio E AccGoldman Sachs
101
EUR15.53n/a17.423.460.3
1401[+]GS Europe High Yield Bond Portfolio P AccGoldman Sachs
30
EUR111.82n/a21.7n/an/a
1402[+]GS GIVI Europe Equity Portfolio E Snap AccGoldman Sachs
100
EUR15.67n/a17.017.6n/a
1403[+]GS GIVI Global Equity - Growth Markets Tilt Portfolio E Snap AccGoldman Sachs
100
EUR17.34n/a33.251.4n/a
1404[+]GS Global Absolute Return Portfolio Base AccGoldman Sachs
24
USD100.40n/a13.8n/an/a
1405[+]GS Global CORE Equity Portfolio E Close AccGoldman Sachs
106
EUR18.42n/a34.465.1116.6
1406[+]GS Global Credit Portfolio (Hedged) AGoldman Sachs
23
USD10.80n/a17.444.550.4
1407[+]GS Global Currency Plus Portfolio AGoldman Sachs
29
USD91.59n/a10.530.725.1
1408[+]GS Global Equity Long Short Portfolio Base AccGoldman Sachs
57
USD7.88n/a7.2n/an/a
1409[+]GS Global Equity Partners ESG Portfolio A Snap AccGoldman Sachs
105
USD12.97n/a26.932.661.7
1410[+]GS Global Equity Partners Portfolio E AccGoldman Sachs
103
EUR22.80n/a24.838.783.9
1411[+]GS Global Event Driven Portfolio Base Acc USDGoldman Sachs
n/a
USD101.74n/an/an/an/a
1412[+]GS Global Fixed Income Plus Portfolio (Hedged) AGoldman Sachs
18
EUR12.08n/a9.59.917.5
1413[+]GS Global Fixed Income Portfolio (Hedged) BaseGoldman Sachs
17
EUR11.33n/a8.99.112.2
1414[+]GS Global Fixed Income Portfolio BGoldman Sachs
69
USD12.27n/a10.923.218.0
1415[+]GS Global High Yield Portfolio BGoldman Sachs
46
USD5.89n/a31.839.354.1
1416[+]GS Global Income Builder Portfolio I AccGoldman Sachs
55
USD109.56n/a25.2n/an/a
1417[+]GS Global Infrastructure Equity Portfolio E Acc EURGoldman Sachs
n/a
EUR10.18n/an/an/an/a
1418[+]GS Global Millennials Equity Portfolio E EURGoldman Sachs
110
EUR11.67n/a34.4n/an/a
1419[+]GS Global Multi-Manager Alternatives Portfolio Base AccGoldman Sachs
n/a
USD106.12n/a20.7n/an/a
1420[+]GS Global Real Estate Equity Portfolio E Acc EURGoldman Sachs
n/a
EUR10.13n/an/an/an/a
1421[+]GS Global Small Cap Core Equity Portfolio I Snap Acc USDGoldman Sachs
109
USD11.26n/an/an/an/a
1422[+]GS Global Strategic Income Bond Portfolio AGoldman Sachs
19
USD103.83n/a17.332.345.8
1423[+]GS Global Strategic Macro Bond Portfolio P AccGoldman Sachs
21
USD106.78n/a17.4n/an/a
1424[+]GS GMS Dynamic World Equity Portfolio BaseGoldman Sachs
105
USD20.28n/a34.852.3102.0
1425[+]GS GMS Emerging Markets Equity Portfolio R AccGoldman Sachs
134
USD10.41n/a44.143.331.7

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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