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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 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: 2479 funds

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2479 funds
Rank ChartFund Group Focus FE Risk Score What is FE Risk Score?BidOfferYield 1y 3y 5y  
376[+]BNY Mellon Newton Global Dynamic Bond Income Inc GBPBNY Mellon Investment Management EMEA Ltd
n/a
102.271.72n/an/an/a
377[+]BPM Trust AccThesis Unit Trust Mgmt Ltd
55
12.06
(GBP)
0.4013.219.657.1
378[+]Broadway ICVC BalancedThe 140 Investment Managers
59
211.280.009.816.940.8
379[+]Broadway ICVC GrowthThe 140 Investment Managers
92
254.800.0022.234.058.8
380[+]Broadway ICVC IncomeThe 140 Investment Managers
29
103.660.006.08.613.6
381[+]CAF UK Equitrack R AccLegal & General UT Mgr Ltd
94
108.60108.603.1014.317.364.2
382[+]Canlife UK Property Jersey AccCF Canada Life Investments
46
2,429.702,551.400.00-1.323.486.2
383[+]Carvetian Andromeda GrowthCarvetian Capital Mgt Ltd
72
107.001.2318.522.654.5
384[+]Carvetian Fenix BalancedCarvetian Capital Mgt Ltd
66
159.301.26-2.017.540.9
385[+]Carvetian GenerationCarvetian Capital Mgt Ltd
60
746.800.775.621.045.2
386[+]Castlefield B.E.S.T Income Inst IncCastlefield Fund Partners Limited
66
79.54n/a3.918.458.3
387[+]Castlefield Managed Multi-Asset Inst IncCastlefield Fund Partners Limited
26
230.29n/a5.910.721.1
388[+]Castlefield UK Opportunities Inst IncCastlefield Fund Partners Limited
82
359.25n/a2.715.359.9
389[+]Castlefield UK Smaller Companies Inst IncCastlefield Fund Partners Limited
72
425.33n/a11.924.786.1
390[+]Cavendish AIM BCavendish Asset Management
74
189.800.6017.637.289.0
391[+]Cavendish Asia Pacific B IncCavendish Asset Management
118
198.401.3034.933.968.1
392[+]Cavendish European B IncCavendish Asset Management
98
168.801.0026.125.086.8
393[+]Cavendish Japan B IncCavendish Asset Management
133
194.000.6031.830.082.4
394[+]Cavendish North American B IncCavendish Asset Management
98
227.000.4025.149.091.4
395[+]Cavendish Opportunities BCavendish Asset Management
84
1,099.001.503.517.094.7
396[+]Cavendish Technology B IncCavendish Asset Management
100
366.300.1036.470.5118.7
397[+]Cavendish UK Balanced Income B IncCavendish Asset Management
69
143.204.309.923.582.0
398[+]Cavendish UK Select B IncCavendish Asset Management
102
150.902.004.13.872.2
399[+]Cavendish Worldwide BCavendish Asset Management
94
350.900.9023.125.870.0
400[+]CCM CFS Balanced Opportunities A AccCarvetian Capital Mgt Ltd
65
77.880.00-0.9-8.30.3
401[+]CF Adam Worldwide AccCapita Financial Managers
85
878.21909.790.0024.431.476.6
402[+]CF AquariusCapita Financial Managers
57
1,613.930.8315.222.347.0
403[+]CF Asset Value Investors Global AccAsset Value Investors
81
2,961.974.6131.426.956.8
404[+]CF Bentley Global GrowthCapita Financial Managers
71
144.130.0017.224.148.4
405[+]CF Bentley Sterling BalancedCapita Financial Managers
35
175.600.006.513.539.1
406[+]CF Bentley Sterling Income IncCapita Financial Managers
12
96.190.002.42.12.9
407[+]CF Bentley US Dollar BalancedCapita Financial Managers
68
1.21
(USD)
0.0017.429.455.5
408[+]CF BrodenCapita Financial Managers
83
1,885.601.1816.318.057.9
409[+]CF Buxton AccCapita Financial Managers
50
3,395.530.7210.421.650.0
410[+]CF Canlife Asia Pacific C Acc GBPCF Canada Life Investments
121
931.200.0020.615.047.7
411[+]CF Canlife Balanced C AccCF Canada Life Investments
67
166.930.0017.024.761.5
412[+]CF Canlife Corporate Bond C Acc GBPCF Canada Life Investments
31
256.240.0012.122.839.0
413[+]CF Canlife European C AccCF Canada Life Investments
97
118.240.0017.124.580.8
414[+]CF Canlife Global Bond C Acc GBPCF Canada Life Investments
57
122.360.0026.528.8n/a
415[+]CF Canlife Global Equity C Acc GBPCF Canada Life Investments
85
729.770.0028.640.3101.6
416[+]CF Canlife Global Equity Income C Acc GBPCF Canada Life Investments
86
165.580.0026.235.1n/a
417[+]CF Canlife Global High Yield Bond C AccCF Canada Life Investments
44
110.270.007.99.942.0
418[+]CF Canlife Global Infrastructure CCF Canada Life Investments
97
140.620.0031.535.1n/a
419[+]CF Canlife Global Resource CCF Canada Life Investments
174
102.860.0042.6-0.1n/a
420[+]CF Canlife Japan C AccCF Canada Life Investments
120
132.020.0029.124.170.3
421[+]CF Canlife North American C Acc GBPCF Canada Life Investments
92
1,126.180.0044.260.5138.7
422[+]CF Canlife Portfolio III C AccCF Canada Life Investments
31
120.270.9512.2n/an/a
423[+]CF Canlife Portfolio IV C AccCF Canada Life Investments
41
121.042.0612.4n/an/a
424[+]CF Canlife Portfolio V C AccCF Canada Life Investments
54
121.381.5414.0n/an/a
425[+]CF Canlife Portfolio VI C AccCF Canada Life Investments
69
121.551.5815.6n/an/a
426[+]CF Canlife Portfolio VII C AccCF Canada Life Investments
82
118.221.4916.3n/an/a
427[+]CF Canlife Strategic Return C AccCF Canada Life Investments
65
116.040.0018.2n/an/a
428[+]CF Canlife Total Return CCF Canada Life Investments
56
105.710.004.75.423.7
429[+]CF Canlife UK Equity and Bond Income C Acc GBPCF Canada Life Investments
71
1,752.140.0011.325.062.3
430[+]CF Canlife UK Equity C AccCF Canada Life Investments
98
109.040.001.5n/an/a
431[+]CF Canlife UK Equity Income C Acc GBPCF Canada Life Investments
85
521.800.0010.624.470.8
432[+]CF Canlife UK Government Bond C IncCF Canada Life Investments
38
118.930.0011.822.224.3
433[+]CF Cautela Ret AccCapita Financial Managers
59
115.091.267.29.0n/a
434[+]CF CircusCapita Financial Managers
79
1,758.141.2716.217.345.7
435[+]CF CranmerCapita Financial Managers
49
1,971.060.847.612.134.0
436[+]CF DartmoorCapita Financial Managers
52
2,463.890.0012.719.237.7
437[+]CF DavidsCapita Financial Managers
49
2,041.830.0010.721.542.1
438[+]CF DrygateCapita Financial Managers
53
1,467.281,588.522.028.117.955.9
439[+]CF Eclectica Absolute Macro A GBPCF Eclectica Asset Management
70
100.790.00-3.13.4-0.6
440[+]CF Eclectica Agriculture A Acc GBPCF Eclectica Asset Management
90
124.230.0026.318.936.5
441[+]CF GreenmountCapita Financial Managers
92
153.19165.281.1425.017.856.8
442[+]CF GullandCapita Financial Managers
68
1,964.371.0415.830.062.2
443[+]CF Heartwood Balanced Multi Asset I Acc NAVCF Heartwood Investment Management
51
138.191.0110.314.745.2
444[+]CF Heartwood Cautious Multi Asset I Acc NAVCF Heartwood Investment Management
30
132.420.797.512.432.3
445[+]CF Heartwood Defensive Multi Asset I AccCF Heartwood Investment Management
19
116.300.505.28.5n/a
446[+]CF Heartwood Growth Multi Asset I Acc NAVCF Heartwood Investment Management
71
146.981.1513.719.460.5
447[+]CF Heartwood Income Multi Asset ICF Heartwood Investment Management
31
114.272.956.712.533.4
448[+]CF Heartwood Income Plus Multi Asset I Inc NAVCF Heartwood Investment Management
53
118.153.688.715.949.4
449[+]CF Helm Investment AccCapita Financial Managers
69
1,841.571.2014.419.431.1
450[+]CF HollyCapita Financial Managers
119
312.97341.661.058.8-34.5-33.2

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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