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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: 2485 funds

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2485 funds
Rank ChartFund Group Focus FE Risk Score What is FE Risk Score?BidOfferYield 1y 3y 5y  
526[+]Scottish Widows UK Fixed Interest Tracker I AccScottish Wid UT Mgr Limited
52
247.401.505.822.522.7
527[+]Scottish Widows UK Equity Income A AccScottish Wid UT Mgr Limited
102
4,523.004.2021.213.240.8
528[+]Scottish Widows UK All Share Tracker I AccScottish Wid UT Mgr Limited
98
256.603.2023.819.150.3
529[+]Scottish Widows Strategic Solution G AccScottish Wid UT Mgr Limited
64
141.301.9018.419.1n/a
530[+]Scottish Widows Strategic Income A AccScottish Wid UT Mgr Limited
43
197.403.4012.016.537.5
531[+]Scottish Widows Strategic Growth Portfolio A AccScottish Wid UT Mgr Limited
75
217.601.6026.126.350.4
532[+]Scottish Widows Stockmarket Growth Portfolio A AccScottish Wid UT Mgr Limited
84
243.101.7026.825.454.0
533[+]Scottish Widows Safety Plus A AccScottish Wid UT Mgr Limited
25
39.890.005.4-4.3-0.5
534[+]Scottish Widows Progressive Portfolio A AccScottish Wid UT Mgr Limited
67
209.300.5022.529.659.5
535[+]Scottish Widows Progressive Growth D AccScottish Wid UT Mgr Limited
77
167.301.3022.825.046.5
536[+]Scottish Widows Pacific Growth A AccScottish Wid UT Mgr Limited
118
1,210.001.9045.245.146.1
537[+]Scottish Widows Overseas Fixed Interest Tracker I AccScottish Wid UT Mgr Limited
81
222.000.7010.029.619.8
538[+]Scottish Widows Opportunities Portfolio A AccScottish Wid UT Mgr Limited
80
213.100.5026.834.069.5
539[+]Scottish Widows Multi-Manager UK Equity Income B Acc GBPScottish Wid UT Mgr Limited
85
130.104.0018.123.7n/a
540[+]Scottish Widows Multi-Manager UK Equity Growth B IncScottish Wid UT Mgr Limited
98
152.802.4020.215.555.7
541[+]Scottish Widows Multi-Manager UK Equity Focus B Acc GBPScottish Wid UT Mgr Limited
89
125.102.1022.320.1n/a
542[+]Scottish Widows Multi-Manager International Equity BScottish Wid UT Mgr Limited
99
346.801.1036.256.693.6
543[+]Scottish Widows Multi-Manager Global Real Estate Securities B Inc GBPScottish Wid UT Mgr Limited
103
152.202.3025.258.8n/a
544[+]Scottish Widows Momentum Income Portfolio A AccScottish Wid UT Mgr Limited
38
175.901.9013.014.226.7
545[+]Scottish Widows Managed Income Portfolio A AccScottish Wid UT Mgr Limited
34
168.401.6011.613.523.7
546[+]Scottish Widows Latin American A AccScottish Wid UT Mgr Limited
190
356.601.2073.433.5-9.8
547[+]Scottish Widows Japan Growth A AccScottish Wid UT Mgr Limited
121
126.001.2034.655.371.7
548[+]Scottish Widows International Equity Tracker I AccScottish Wid UT Mgr Limited
98
286.300.0037.157.089.0
549[+]Scottish Widows International Bond A AccScottish Wid UT Mgr Limited
78
247.200.008.926.019.1
550[+]Scottish Widows High Reserve A AccScottish Wid UT Mgr Limited
78
342.304.1018.914.640.3
551[+]Scottish Widows High Income Bond A AccScottish Wid UT Mgr Limited
39
225.305.5013.61.816.7
552[+]Scottish Widows HIFML UK Property IScottish Widows Sh Cl HIFML
78
85.593.004.532.8n/a
553[+]Scottish Widows HIFML Dynamic Return IScottish Widows Sh Cl HIFML
47
73.890.0010.99.322.6
554[+]Scottish Widows HIFML Diversified Return IScottish Widows Sh Cl HIFML
35
63.470.007.68.014.2
555[+]Scottish Widows HIFML Absolute Return IScottish Widows Sh Cl HIFML
11
65.690.000.82.714.3
556[+]Scottish Widows GTAA 1Scottish Wid UT Mgr Limited
27
99.630.402.3n/an/a
557[+]Scottish Widows Global Select Growth A AccScottish Wid UT Mgr Limited
100
768.400.7032.824.065.7
558[+]Scottish Widows Global Growth G AccScottish Wid UT Mgr Limited
96
179.701.4035.346.3n/a
559[+]Scottish Widows Gilt G AccScottish Wid UT Mgr Limited
52
113.000.704.718.4n/a
560[+]Scottish Widows Fundamental Low Volatility Index UK Equity XScottish Wid UT Mgr Limited
69
104.200.00n/an/an/a
561[+]Scottish Widows European Select Growth A AccScottish Wid UT Mgr Limited
111
2,201.001.1025.317.654.6
562[+]Scottish Widows European Growth A AccScottish Wid UT Mgr Limited
113
547.701.9027.623.157.7
563[+]Scottish Widows Ethical G AccScottish Wid UT Mgr Limited
96
142.101.3018.87.9n/a
564[+]Scottish Widows Environmental Investor G AccScottish Wid UT Mgr Limited
103
148.001.4017.08.6n/a
565[+]Scottish Widows Emerging Markets A AccScottish Wid UT Mgr Limited
130
180.100.8045.937.922.3
566[+]Scottish Widows Dynamic Solution G AccScottish Wid UT Mgr Limited
73
150.101.8022.323.6n/a
567[+]Scottish Widows Dynamic Income Portfolio P AccScottish Wid UT Mgr Limited
45
100.202.50n/an/an/a
568[+]Scottish Widows Dynamic Income A AccScottish Wid UT Mgr Limited
45
227.702.1015.315.231.3
569[+]Scottish Widows Diversified PortfolioScottish Wid UT Mgr Limited
46
165.100.6014.714.523.9
570[+]Scottish Widows Discovery Solution G AccScottish Wid UT Mgr Limited
42
129.201.9013.214.2n/a
571[+]Scottish Widows Defensive Solution G AccScottish Wid UT Mgr Limited
25
118.002.008.910.5n/a
572[+]Scottish Widows Corporate Bond G AccScottish Wid UT Mgr Limited
47
121.602.8012.618.5n/a
573[+]Scottish Widows Cautious Solution G AccScottish Wid UT Mgr Limited
29
121.702.2010.111.3n/a
574[+]Scottish Widows Cautious Portfolio A AccScottish Wid UT Mgr Limited
26
181.000.606.513.725.4
575[+]Scottish Widows Cautious Growth D AccScottish Wid UT Mgr Limited
32
137.701.5010.814.126.6
576[+]Scottish Widows Cash A AccScottish Wid UT Mgr Limited
1
177.200.00-0.2-0.3-0.4
577[+]Scottish Widows Balanced Solution G AccScottish Wid UT Mgr Limited
51
135.302.0016.117.2n/a
578[+]Scottish Widows Balanced Portfolio A AccScottish Wid UT Mgr Limited
47
194.900.6015.322.343.5
579[+]Scottish Widows Balanced Growth Portfolio A AccScottish Wid UT Mgr Limited
54
197.501.6019.619.436.3
580[+]Scottish Widows Balanced Growth D AccScottish Wid UT Mgr Limited
54
154.101.3016.019.637.8
581[+]Scottish Widows Asset Allocator A AccScottish Wid UT Mgr Limited
43
124.900.4010.59.012.9
582[+]Scottish Widows American Growth A AccScottish Wid UT Mgr Limited
100
1,504.000.8037.670.3120.5
583[+]Scottish Widows Adventurous Solution G AccScottish Wid UT Mgr Limited
80
156.201.6025.026.8n/a
584[+]Scottish Widows Adventurous Growth D AccScottish Wid UT Mgr Limited
90
177.500.9027.524.753.0
585[+]Scottish Friendly UK GrowthScottish Friendly Assurance
85
279.500.007.614.460.7
586[+]Scottish Friendly Managed GrowthScottish Friendly Assurance
67
260.400.009.317.649.2
587[+]Scot Mut UK All Share IndexScottish Mutual Invest Mgmt
95
306.71333.383.2522.621.154.7
588[+]Schroder US Smaller Companies Z AccSchroder UT Managers
112
119.50119.900.0848.276.5139.0
589[+]Schroder US Mid Cap Z AccSchroder UT Managers
103
123.30123.600.0344.184.9144.1
590[+]Schroder UK Smaller Companies Z AccSchroder UT Managers
67
125.10128.400.9026.435.3134.7
591[+]Schroder UK Opportunities ZSchroder UT Managers
91
467.002.2615.63.667.8
592[+]Schroder UK Mid 250 Z AccSchroder UT Managers
95
106.40107.501.4314.95.387.4
593[+]Schroder UK Equity Z AccSchroder UT Managers
91
86.8687.512.3119.918.367.6
594[+]Schroder UK Dynamic Smaller Companies Z AccSchroder UT Managers
71
445.700.7129.820.0137.6
595[+]Schroder UK Dynamic Absolute Return P2 Acc GBPSchroder UT Managers
44
173.500.0014.49.345.2
596[+]Schroder UK Corporate Bond Z AccSchroder UT Managers
41
142.604.1013.120.236.2
597[+]Schroder UK Alpha Plus Z AccSchroder UT Managers
92
80.8681.492.1117.915.368.9
598[+]Schroder UK Alpha Income Z IncSchroder UT Managers
91
176.104.6014.115.569.8
599[+]Schroder Tokyo Z AccSchroder UT Managers
120
104.50104.900.6038.069.495.5
600[+]Schroder Strategic Credit Z AccSchroder UT Managers
15
55.164.568.110.724.1

All prices in Pence Sterling (GBX) unless otherwise specified. Price total return performance figures are calculated on a bid price to bid price basis (mid to mid for OEICs) 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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