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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 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: 8218 funds

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8218 funds
Rank ChartFund Group Focus FE Risk Score What is FE Risk Score?Currency BidOffer1y 3y 5y  
901[+]AXA Wealth Architas Multi-Asset Passive Intermediate Pn S4AXA Wealth Limited
49
GBX367.60367.6012.423.638.2
902[+]AXA Wealth Architas Multi-Asset Passive Moderate Pn S4AXA Wealth Limited
42
GBX362.30362.3012.524.838.3
903[+]AXA Wealth Architas Multi-Asset Passive Progressive Pn S4AXA Wealth Limited
62
GBX368.50368.5012.924.238.8
904[+]AXA Wealth Architas Multi-Asset Passive Prudent Pn S4AXA Wealth Limited
32
GBX256.20256.209.520.6n/a
905[+]AXA Wealth Architas Multi-Asset Passive Reserve Pn S4AXA Wealth Limited
38
GBX273.60273.6012.425.135.2
906[+]AXA Wealth Architas Multi-Manager Diversified Protector 70 Pn S3AXA Wealth Limited
43
GBX232.40232.402.58.712.3
907[+]AXA Wealth Architas Multi-Manager Diversified Protector 80 Pn S3AXA Wealth Limited
28
GBX221.90221.901.24.87.4
908[+]AXA Wealth Architas Multi-Manager Diversified Protector 85 Pn S4AXA Wealth Limited
20
GBX206.90206.90-0.40.7n/a
909[+]AXA Wealth Architas Multi-Manager Monthly High Income Pn S4AXA Wealth Limited
22
GBX263.30263.305.015.529.8
910[+]AXA Wealth Architas Multi-Manager Strategic Bond Pn S4AXA Wealth Limited
26
GBX258.90258.904.710.020.9
911[+]AXA Wealth Architas Multi-Manager UK Equity Pn S4AXA Wealth Limited
90
GBX312.40312.403.415.243.1
912[+]AXA Wealth Artemis Global Growth Pn S4AXA Wealth Limited
88
GBX444.70444.7011.643.986.3
913[+]AXA Wealth Artemis Income Pn S4AXA Wealth Limited
88
GBX403.70403.703.617.554.4
914[+]AXA Wealth Artemis Strategic Bond Pn S4AXA Wealth Limited
33
GBX359.90359.904.816.530.9
915[+]AXA Wealth Artemis UK Smaller Companies Pn S4AXA Wealth Limited
77
GBX467.40467.402.627.556.5
916[+]AXA Wealth Artemis UK Special Situations Pn S4AXA Wealth Limited
74
GBX415.80415.803.517.247.8
917[+]AXA Wealth Aviva Investors Property Pn S4AXA Wealth Limited
131
GBX233.40233.401.422.827.1
918[+]AXA Wealth AXA Framlington American Growth Pn S4AXA Wealth Limited
106
GBX467.50467.5011.450.489.0
919[+]AXA Wealth AXA Framlington Biotech Pn S4AXA Wealth Limited
186
GBX273.30273.30-16.1n/an/a
920[+]AXA Wealth AXA Framlington Blue Chip Equity Income Pn S4AXA Wealth Limited
93
GBX215.70215.702.9n/an/a
921[+]AXA Wealth AXA Framlington Emerging Markets Pn S4AXA Wealth Limited
114
GBX233.40233.4022.5n/an/a
922[+]AXA Wealth AXA Framlington European Pn S4AXA Wealth Limited
98
GBX233.40233.408.6n/an/a
923[+]AXA Wealth AXA Framlington Financial Pn S4AXA Wealth Limited
112
GBX228.20228.20-2.2n/an/a
924[+]AXA Wealth AXA Framlington Global Opportunities Pn S4AXA Wealth Limited
99
GBX246.70246.7011.8n/an/a
925[+]AXA Wealth AXA Framlington Global Technology Pn S4AXA Wealth Limited
108
GBX436.00436.0021.868.395.0
926[+]AXA Wealth AXA Framlington Health Pn S4AXA Wealth Limited
115
GBX657.20657.207.866.5138.6
927[+]AXA Wealth AXA Framlington Japan Pn S4AXA Wealth Limited
130
GBX306.80306.8031.1n/an/a
928[+]AXA Wealth AXA Framlington Managed Balanced (Closed to New Business) Pn S4AXA Wealth Limited
n/a
GBX220.90220.90n/an/an/a
929[+]AXA Wealth AXA Framlington Managed Balanced Pn S4AXA Wealth Limited
69
GBX327.20327.208.419.042.9
930[+]AXA Wealth AXA Framlington Managed Income Pn S4AXA Wealth Limited
23
GBX213.20213.203.4n/an/a
931[+]AXA Wealth AXA Framlington Monthly Income Pn S4AXA Wealth Limited
60
GBX354.90354.902.131.251.9
932[+]AXA Wealth AXA Framlington UK Growth (Closed to New Business) Pn S4AXA Wealth Limited
97
GBX237.10237.103.2n/an/a
933[+]AXA Wealth AXA Framlington UK Growth Pn S4AXA Wealth Limited
95
GBX337.70337.703.018.545.1
934[+]AXA Wealth AXA Framlington UK Mid Cap Pn S4AXA Wealth Limited
90
GBX235.10235.102.0n/an/a
935[+]AXA Wealth AXA Framlington UK Select Opportunities Pn S4AXA Wealth Limited
93
GBX464.70464.70-0.515.646.3
936[+]AXA Wealth AXA Framlington UK Smaller Company Pn S4AXA Wealth Limited
75
GBX601.70601.701.149.689.5
937[+]AXA Wealth AXA IM Cash Sterling Strategic Pn S4AXA Wealth Limited
1
GBX198.80198.80-0.3n/an/a
938[+]AXA Wealth AXA IM Defensive Distribution Pn S4AXA Wealth Limited
40
GBX308.70308.705.812.625.5
939[+]AXA Wealth AXA IM Distribution (Closed to new business) Pn S4AXA Wealth Limited
59
GBX211.60211.604.5n/an/a
940[+]AXA Wealth AXA IM Distribution Pn S4AXA Wealth Limited
58
GBX274.30274.304.311.628.7
941[+]AXA Wealth AXA IM Ethical Distribution Pn S4AXA Wealth Limited
52
GBX375.90375.900.513.440.7
942[+]AXA Wealth AXA IM Global Distribution Pn S4AXA Wealth Limited
59
GBX386.30386.3016.026.246.4
943[+]AXA Wealth AXA IM Global High Income Pn S4AXA Wealth Limited
36
GBX387.30387.300.76.029.2
944[+]AXA Wealth AXA IM Lifetime Distribution Pn S4AXA Wealth Limited
n/a
GBX210.90210.909.9n/an/a
945[+]AXA Wealth AXA IM Smart Diversified Growth PnAXA Wealth Limited
n/a
GBX210.70210.708.8n/an/a
946[+]AXA Wealth AXA Pan European High Yield Bond Pn S4AXA Wealth Limited
31
GBX215.10215.104.3n/an/a
947[+]AXA Wealth AXA Sterling Corporate Bond Pn S4AXA Wealth Limited
27
GBX361.80361.8010.718.536.9
948[+]AXA Wealth AXA Sterling Credit Short Duration Bond Pn S4AXA Wealth Limited
7
GBX205.70205.702.0n/an/a
949[+]AXA Wealth AXA Sterling Index Linked Bond Pn S4AXA Wealth Limited
71
GBX401.70401.7014.436.454.7
950[+]AXA Wealth AXA Sterling Strategic Bond Pn S4AXA Wealth Limited
34
GBX331.00331.0012.221.635.2
951[+]AXA Wealth AXA US Short Duration High Yield Bond Pn S4AXA Wealth Limited
23
GBX204.70204.701.8n/an/a
952[+]AXA Wealth Baillie Gifford Japanese Pn S4AXA Wealth Limited
143
GBX490.80490.8016.035.678.7
953[+]AXA Wealth Baillie Gifford Managed Pn S4AXA Wealth Limited
74
GBX441.50441.5012.323.448.4
954[+]AXA Wealth Baring Europe Select Trust Pn S4AXA Wealth Limited
n/a
GBX224.30224.30n/an/an/a
955[+]AXA Wealth Birthstar 1940 (2005 Target Date) PnAXA Wealth Limited
24
GBX240.60240.606.914.9n/a
956[+]AXA Wealth Birthstar 1950 (2015 Target Date) PnAXA Wealth Limited
31
GBX259.50259.508.520.8n/a
957[+]AXA Wealth Birthstar 1960 (2025 Target Date) PnAXA Wealth Limited
57
GBX294.00294.0015.231.2n/a
958[+]AXA Wealth Birthstar 1970 (2035 Target Date) PnAXA Wealth Limited
73
GBX301.90301.9013.429.8n/a
959[+]AXA Wealth Birthstar 1980 (2045 Target Date) PnAXA Wealth Limited
82
GBX301.40301.4011.929.1n/a
960[+]AXA Wealth Birthstar 1990 (2055 Target Date) PnAXA Wealth Limited
82
GBX301.40301.4011.929.1n/a
961[+]AXA Wealth Birthstar 2000 (2065 Target Date) PnAXA Wealth Limited
82
GBX301.50301.5011.929.1n/a
962[+]AXA Wealth Birthstar 2010 (2075 Target Date) PnAXA Wealth Limited
82
GBX301.90301.9012.029.3n/a
963[+]AXA Wealth Birthstar 2020 (2085 Target Date) PnAXA Wealth Limited
82
GBX302.00302.0012.029.3n/a
964[+]AXA Wealth BirthStar Target Date 2011-15 Pn S1AXA Wealth Limited
32
GBX231.70231.708.2n/an/a
965[+]AXA Wealth BirthStar Target Date 2016-20 Pn S1AXA Wealth Limited
49
GBX244.70244.7012.7n/an/a
966[+]AXA Wealth BirthStar Target Date 2021-25 Pn S1AXA Wealth Limited
59
GBX250.20250.2014.8n/an/a
967[+]AXA Wealth BirthStar Target Date 2026-30 Pn S1AXA Wealth Limited
66
GBX245.60245.6014.7n/an/a
968[+]AXA Wealth BirthStar Target Date 2031-35 Pn S1AXA Wealth Limited
75
GBX244.40244.4013.0n/an/a
969[+]AXA Wealth Birthstar Target Date 2036-40 Pn S1AXA Wealth Limited
84
GBX239.00239.0011.7n/an/a
970[+]AXA Wealth BirthStar Target Date 2041-45 Pn S1AXA Wealth Limited
85
GBX242.00242.0011.6n/an/a
971[+]AXA Wealth Birthstar Target Date 2046-50 Pn S1AXA Wealth Limited
85
GBX239.00239.0011.7n/an/a
972[+]AXA Wealth BirthStar Target Date 2051-55 Pn S1AXA Wealth Limited
85
GBX242.10242.1011.6n/an/a
973[+]AXA Wealth BirthStar Target Date 2061-65 Pn S1AXA Wealth Limited
85
GBX242.10242.1011.6n/an/a
974[+]AXA Wealth BirthStar Target Date 2071-75 Pn S1AXA Wealth Limited
85
GBX242.40242.4011.6n/an/a
975[+]AXA Wealth BirthStar Target Date 2081-85 Pn S1AXA Wealth Limited
85
GBX242.50242.5011.7n/an/a

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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