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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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Additional information

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For Sale In

Fund performance league table: 1280 funds

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1280 funds
Rank ChartFund Group Focus FE Risk Score What is FE Risk Score?Currency BidOffer1y 3y 5y  
1[+]Abbey Fixed Interest PnAbbey Life
41
GBX1,880.201,979.1015.127.935.1
2[+]Abbey HS Fixed Interest Pn AccAbbey Life
41
GBX2,691.802,833.5014.827.133.6
3[+]Abbey Indexed Investment Pn AccAbbey Life
77
GBX1,267.401,334.1023.146.765.1
4[+]Abbey Target Gilt Edged Pn S1 AccAbbey Life
41
GBX2,609.602,747.0014.926.632.7
5[+]Aegon Corporate Bond Tracker Pn ARCAegon/Scottish Equitable plc
n/a
GBX110.29110.29n/an/an/a
6[+]Aegon Index Linked RR PnAegon/Scottish Equitable plc
n/a
GBX125.13125.13n/an/an/a
7[+]Aegon IndexLinkGilt Tracker Pn ARCAegon/Scottish Equitable plc
n/a
GBX126.56126.56n/an/an/a
8[+]Aegon Interim Retirement (Annuity Target) PnAegon/Scottish Equitable plc
n/a
GBX116.95123.11n/an/an/a
9[+]Aegon Kames Absolute Return Bond Pn AORAegon/Scottish Equitable plc
7
GBX102.92102.921.8n/an/a
10[+]AEGON Long Core Plus PnAEGON Asset Mgmt UK Plc
70
GBX274.3229.766.097.0
11[+]Aegon Mercer Active Emerging Market Debt PnAegon/Scottish Equitable plc
101
GBX99.50104.7329.1n/an/a
12[+]Aegon Mercer Active UK Bonds PnAegon/Scottish Equitable plc
45
GBX124.21130.7516.2n/an/a
13[+]Aegon Mercer Passive Over 15 Year UK Gilt PnAegon/Scottish Equitable plc
96
GBX155.26163.4330.7n/an/a
14[+]Aegon Mercer Passive Over 5 Year UK Index-Linked Gilt PnAegon/Scottish Equitable plc
98
GBX148.98156.8226.8n/an/a
15[+]Aegon Mercer Passive UK Corporate Bond PnAegon/Scottish Equitable plc
45
GBX121.15127.5315.9n/an/a
16[+]Aegon Mercer Pre Retirement Inflation Linked Pn (ARC)Aegon/Scottish Equitable plc
n/a
GBX120.43120.4323.8n/an/a
17[+]Aegon Mercer Pre Retirement Pn (ARC)Aegon/Scottish Equitable plc
n/a
GBX120.14120.1424.3n/an/a
18[+]Aegon Newton International Bond Pn ARCAegon/Scottish Equitable plc
n/a
GBX110.74110.74n/an/an/a
19[+]Aegon Old Mutual Corporate Bond Pn AORAegon/Scottish Equitable plc
34
GBX116.41116.4114.4n/an/a
20[+]Aegon Old Mutual Monthly Income Bond Pn AORAegon/Scottish Equitable plc
29
GBX102.50102.507.9n/an/a
21[+]AEGON Overseas Bond PnAEGON Asset Mgmt UK Plc
71
GBX294.1730.327.727.8
22[+]Aegon Retirement II Pn ARCAegon/Scottish Equitable plc
n/a
GBX116.63116.63n/an/an/a
23[+]Aegon Threadneedle High Yield Bond Pn AORAegon/Scottish Equitable plc
29
GBX110.91110.917.1n/an/a
24[+]Aegon Threadneedle UK Corporate Bond Pn AORAegon/Scottish Equitable plc
28
GBX120.79120.7913.9n/an/a
25[+]AEGON UK Core Plus PnAEGON Asset Mgmt UK Plc
40
GBX219.0316.935.656.2
26[+]AEGON UK Corporate Bond PnAEGON Asset Mgmt UK Plc
37
GBX285.0215.332.054.0
27[+]AEGON UK Fixed Interest PnAEGON Asset Mgmt UK Plc
36
GBX1,789.1216.033.450.6
28[+]Aegon UK Fixed Interest RR PnAegon/Scottish Equitable plc
n/a
GBX116.20116.20n/an/an/a
29[+]AEGON UK Government Bond PnAEGON Asset Mgmt UK Plc
40
GBX258.3816.533.943.1
30[+]AEGON UK Index-Linked PnAEGON Asset Mgmt UK Plc
75
GBX1,163.8823.651.271.5
31[+]AEGON UK Long Corporate Bond PnAEGON Asset Mgmt UK Plc
53
GBX357.0724.446.974.8
32[+]AEGON UK Long Gilt PnAEGON Asset Mgmt UK Plc
74
GBX600.1830.365.684.6
33[+]AI Sterling Corporate Bond Pn A IncFriends Life Funds Limited
n/a
GBP1.1414.9n/an/a
34[+]AI Sterling Gilt Pn A IncFriends Life Funds Limited
n/a
GBP1.1715.3n/an/a
35[+]AI Stewardship Fixed Interest Pn A IncFriends Life Funds Limited
n/a
GBP1.1214.3n/an/a
36[+]Assic Generali Fixed Interest PnAssicurazioni Generali SpA
19
GBX225.763.32.20.2
37[+]Aviva Alliance Trust Sustainable Future Corporate Bond Pn S13Aviva Life & Pensions UK Ltd
32
GBX157.120.0014.731.559.3
38[+]Aviva Allianz Gilt Yield Pn S6Aviva Life & Pensions UK Ltd
53
GBX182.550.0018.231.741.1
39[+]Aviva Artemis High Income Pn S6Aviva Life & Pensions UK Ltd
34
GBX192.090.008.025.270.7
40[+]Aviva Artemis Strategic Bond Pn S6Aviva Life & Pensions UK Ltd
27
GBX190.050.009.423.449.3
41[+]Aviva BlackRock Aquila Corporate Bond Index Tracker Pn S3Aviva Life & Pensions UK Ltd
45
GBX169.660.0015.927.143.2
42[+]Aviva BlackRock Aquila Over 15 Years Corporate Bond Index Tracker Pn S3Aviva Life & Pensions UK Ltd
79
GBX164.820.0029.747.7n/a
43[+]Aviva BlackRock Aquila Over 15 Years Gilt Index Tracker Pn S3Aviva Life & Pensions UK Ltd
96
GBX230.640.0030.962.477.0
44[+]Aviva BlackRock Aquila Over 5 Years Index-Linked Gilt Index Tracker Pn S3Aviva Life & Pensions UK Ltd
97
GBX155.720.0026.953.3n/a
45[+]Aviva BlackRock Corporate Bond Pn S6Aviva Life & Pensions UK Ltd
27
GBX246.660.0013.630.554.9
46[+]Aviva BNY Mellon Absolute Return Bond Pn S6Aviva Life & Pensions UK Ltd
n/a
GBX100.770.00n/an/an/a
47[+]Aviva Corporate Bond Pn S3Aviva Life & Pensions UK Ltd
32
GBX194.930.0013.526.246.7
48[+]Aviva Fidelity MoneyBuilder Income Pn S3Aviva Life & Pensions UK Ltd
32
GBX208.920.0014.028.446.1
49[+]Aviva Fixed Interest CGU PnAviva Life & Pensions UK Ltd
52
GBX1,488.601,566.9016.131.239.8
50[+]Aviva Fixed Interest CU PnAviva Life & Pensions UK Ltd
52
GBX1,089.901,147.3015.729.737.2
51[+]Aviva Fixed Interest GA Pn S1 AccAviva Life & Pensions UK Ltd
52
GBX874.70920.6015.629.737.2
52[+]Aviva Fixed Interest Initial PM Pn OrdAviva Life & Pensions UK Ltd
52
GBX1,426.301,501.4015.830.238.1
53[+]Aviva Fixed Interest Pn 3 S12Aviva Life & Pensions UK Ltd
52
GBX388.00388.0015.629.835.9
54[+]Aviva Fixed Interest Pn S12Aviva Life & Pensions UK Ltd
52
GBX560.60590.1015.629.935.9
55[+]Aviva Fixed Interest TESCO Pn S10 AccAviva Life & Pensions UK Ltd
56
GBX236.700.0016.229.034.5
56[+]Aviva Gilt NU Pn S3Aviva Life & Pensions UK Ltd
52
GBX237.710.0015.629.737.2
57[+]Aviva Gilt Pn S6 AccAviva Life & Pensions UK Ltd
52
GBX202.110.0016.833.744.2
58[+]Aviva Global Bond NU PnAviva Life & Pensions UK Ltd
22
GBX523.00550.529.220.230.8
59[+]Aviva Global Bond Pn S6 AccAviva Life & Pensions UK Ltd
22
GBX227.180.0010.223.436.7
60[+]Aviva Henderson Fixed Interest Monthly Income Pn S6Aviva Life & Pensions UK Ltd
24
GBX181.520.0010.328.856.3
61[+]Aviva Henderson Sterling Bond Pn S6Aviva Life & Pensions UK Ltd
38
GBX192.850.0016.330.856.0
62[+]Aviva High Yield Bond Pn S6Aviva Life & Pensions UK Ltd
35
GBX293.120.009.329.268.3
63[+]Aviva Higher Income Plus Pn S6Aviva Life & Pensions UK Ltd
25
GBX187.960.0013.531.865.4
64[+]Aviva Index-Linked CGU PnAviva Life & Pensions UK Ltd
97
GBX1,318.801,388.1026.755.578.3
65[+]Aviva Index-Linked GA Pn S1 AccAviva Life & Pensions UK Ltd
97
GBX1,033.701,088.0026.253.875.0
66[+]Aviva Index-Linked Gilt CU PnAviva Life & Pensions UK Ltd
97
GBX980.401,032.0026.253.875.0
67[+]Aviva Index-Linked Gilt Initial PM Pn OrdAviva Life & Pensions UK Ltd
97
GBX1,260.701,327.0026.354.476.1
68[+]Aviva Index-Linked Gilt Pn S3Aviva Life & Pensions UK Ltd
97
GBX236.560.0026.253.875.0
69[+]Aviva International Bond Jersey Investment Plan NU PnAviva Life & Pensions UK Ltd
27
GBX510.52537.3910.924.952.6
70[+]Aviva Invesco Perpetual Corporate Bond Pn S6Aviva Life & Pensions UK Ltd
22
GBX205.350.0010.222.652.6
71[+]Aviva Investec Emerging Market Local Currency Debt Pn S14Aviva Life & Pensions UK Ltd
98
GBX101.030.0027.98.8n/a
72[+]Aviva Investec Monthly High Income Pn S6Aviva Life & Pensions UK Ltd
36
GBX200.380.0013.122.851.0
73[+]Aviva IP Corporate Bond Pn AAviva Investors Pensions Ltd
42
GBP3.9915.732.254.3
74[+]Aviva IP High Alpha Gilt Pn AAviva Investors Pensions Ltd
45
GBP0.7616.331.740.0
75[+]Aviva IP Index Linked Pn AAviva Investors Pensions Ltd
86
GBP15.0726.858.082.3

All prices in Pence Sterling (GBX) unless otherwise specified. Price performance figures are calculated on a bid price to bid price basis and shown in Sterling with net income (dividends) reinvested. Performance figures are shown in Sterling.

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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