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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 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: 2552 funds

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2552 funds
Rank ChartFund Group Focus FE Risk Score What is FE Risk Score?BidOfferYield 1y 3y 5y  
451[+]CF Miton Worldwide Opportunities B GBPMiton Asset Management
44
389.840.1933.344.283.2
452[+]CF Morant Wright Japan B AccCapita Financial Managers
116
401.740.9737.876.8117.4
453[+]CF Morant Wright Nippon Yield B AccCapita Financial Managers
111
409.361.9338.979.3124.6
454[+]CF Mulberry IncCapita Financial Managers
85
1,763.700.0023.527.052.8
455[+]CF Navajo AccCapita Financial Managers
79
3,247.680.0023.832.166.4
456[+]CF New FlocoCapita Financial Managers
85
3,181.190.0022.653.799.6
457[+]CF New JaguarCapita Financial Managers
86
3,113.240.0022.152.6102.5
458[+]CF New Viaduct Inst IncCapita Financial Managers
80
2,696.670.0020.940.379.0
459[+]CF New VilltureCapita Financial Managers
42
781.35841.030.0015.225.249.3
460[+]CF Odey Absolute Return Inst GBPOdey Asset Management
92
282.020.00-11.5-1.066.2
461[+]CF Odey Continental European Inst AccOdey Asset Management
99
158.590.7427.026.8102.9
462[+]CF Odey Portfolio Sterling Institutional AccOdey Asset Management
57
155.320.347.010.854.6
463[+]CF Packel GlobalCapita Financial Managers
55
178.110.8314.225.341.1
464[+]CF PE Managed AccCapita Financial Managers
69
1,821.012.5521.933.565.2
465[+]CF Prudential Dynamic 0-30 Portfolio P AccCF Prudential
38
122.861.5411.718.539.9
466[+]CF Prudential Dynamic 10-40 Portfolio P AccCF Prudential
39
125.141.3613.321.345.9
467[+]CF Prudential Dynamic 20-55 Portfolio P AccCF Prudential
54
127.051.2614.523.651.8
468[+]CF Prudential Dynamic 40-80 Portfolio P AccCF Prudential
64
131.091.0718.828.159.9
469[+]CF Prudential Dynamic 60-100 Portfolio P AccCF Prudential
70
133.780.8920.231.468.5
470[+]CF Prudential Dynamic Focused 0-30 Portfolio P AccCF Prudential
34
121.551.9312.718.638.3
471[+]CF Prudential Dynamic Focused 10-40 Portfolio A AccCF Prudential
41
117.551.1914.6n/an/a
472[+]CF Prudential Dynamic Focused 20-55 Portfolio P AccCF Prudential
49
127.771.4917.525.152.8
473[+]CF Prudential Dynamic Focused 40-80 Portfolio A AccCF Prudential
56
121.741.0717.4n/an/a
474[+]CF Prudential Dynamic Focused 60-100 Portfolio A AccCF Prudential
73
125.640.9620.7n/an/a
475[+]CF Purisima EAFE Total Return B PCGCapita Financial Managers
110
174.220.5836.238.880.6
476[+]CF Purisima Global Total Return PCG BCapita Financial Managers
113
228.850.3935.862.1104.8
477[+]CF Purisima PCG BCapita Financial Managers
101
195.490.0018.626.666.9
478[+]CF Purisima UK Total Return B PCGCapita Financial Managers
105
166.981.8624.623.261.6
479[+]CF Resilient MM Balanced Managed XCapita Financial Managers
64
159.241.3820.131.359.8
480[+]CF Ruffer Absolute Return C AccRuffer LLP
48
218.161.4413.723.039.1
481[+]CF Ruffer Equity & General C AccRuffer LLP
44
428.980.0017.216.549.7
482[+]CF Ruffer European C AccRuffer LLP
52
559.220.0611.515.753.4
483[+]CF Ruffer Gold C AccRuffer LLP
242
147.650.5413.863.5-27.7
484[+]CF Ruffer Japanese C AccRuffer LLP
126
220.080.2432.346.0129.6
485[+]CF Ruffer Pacific C AccRuffer LLP
96
348.510.9917.940.985.5
486[+]CF Ruffer Total Return C AccRuffer LLP
49
445.411.5414.423.939.4
487[+]CF Seneca Diversified Growth B AccSeneca Investment Managers Ltd
56
156.102.6222.229.763.7
488[+]CF Seneca Diversified Income B IncSeneca Investment Managers Ltd
43
115.354.7016.926.358.5
489[+]CF Stewart Ivory Invest Mkt AccCapita Financial Managers
82
1,195.811,261.892.3623.536.582.9
490[+]CF The AbbotsfordCapita Financial Managers
74
1,872.240.0022.629.968.2
491[+]CF Waverton Alternatives II B IncWaverton Investment Management
22
99.000.460.12.05.4
492[+]CF Waverton Portfolio BWaverton Investment Management
73
181.671.0225.535.066.8
493[+]CF WindrushCapita Financial Managers
50
2,002.500.0014.525.042.5
494[+]CF Woodford Equity Income C Acc GBPWoodford Investment Management Ltd
80
138.482.8914.7n/an/a
495[+]CF Woodford Income Focus A Acc GBPWoodford Investment Management Ltd
n/a
104.49n/an/an/an/a
496[+]CFIC CRUX European B Inc GBPCRUX Asset Management Limited
102
436.281.0726.738.4103.3
497[+]CFIC CRUX Global B Inc GBPCRUX Asset Management Limited
95
319.971.0727.048.595.4
498[+]CFIC CRUX UK B Inc GBPCRUX Asset Management Limited
92
184.851.7723.931.791.1
499[+]CFP SDL UK Buffettology Institutional IncCastlefield Fund Partners Limited
69
249.231.2423.059.7160.2
500[+]Charinco Common Invest Gr AccBlackRock Invest Mgrs UK Ltd
34
4,842.004,902.003.967.122.627.4
501[+]Charishare Common Invest Gr IncBlackRock Invest Mgrs UK Ltd
92
649.60658.102.3726.239.488.7
502[+]Charishare Restricted Gr AccBlackRock Invest Mgrs UK Ltd
93
367.80372.602.4225.936.286.4
503[+]Charity Assets Trust AccRuffer LLP
46
133.161.9412.822.640.0
504[+]Charity Equity A AccSchroder UT Managers
97
1,060.001,062.003.0623.929.8116.1
505[+]Charity Multi Asset A AccSchroder UT Managers
60
80.3680.743.3818.624.158.4
506[+]City Financial Absolute Equity I Acc GBPCity Financial Inv Company Ltd
100
384.510.0012.938.2140.5
507[+]City Financial Diversified Fixed Interest R Acc GBPCity Financial Inv Company Ltd
34
175.595.944.710.529.7
508[+]City Financial Loudwater B Acc GBPCity Financial Inv Company Ltd
89
213.924.0821.228.772.7
509[+]City Financial Multi Asset Balanced I Acc GBPCity Financial Inv Company Ltd
64
140.312.2614.114.145.9
510[+]City Financial Multi Asset Diversified I Acc GBPCity Financial Inv Company Ltd
50
138.713.0011.912.831.4
511[+]City Financial Multi Asset Dynamic I Acc GBPCity Financial Inv Company Ltd
95
177.060.3824.026.058.3
512[+]City Financial Multi Asset Growth I Acc GBPCity Financial Inv Company Ltd
82
123.471.4419.319.248.3
513[+]Close Balanced Portfolio X AccClose Brothers AM
58
183.601.1816.126.863.6
514[+]Close Bond Income Portfolio X AccClose Brothers AM
23
157.704.029.417.731.2
515[+]Close Conservative Portfolio X AccClose Brothers AM
42
163.401.3612.120.941.2
516[+]Close Diversified Income Portfolio X AccClose Brothers AM
26
167.303.2512.019.241.2
517[+]Close FTSE techMARK X AccClose Brothers AM
101
200.201.3423.654.1128.5
518[+]Close Growth Portfolio X AccClose Brothers AM
66
188.301.1618.429.371.9
519[+]Close Managed Balanced X AccClose Brothers AM
63
226.401.3320.628.562.1
520[+]Close Managed Conservative X AccClose Brothers AM
44
211.001.8714.623.549.4
521[+]Close Managed Growth X AccClose Brothers AM
71
237.701.0423.733.971.9
522[+]Close Managed Income X AccClose Brothers AM
40
215.703.2213.323.653.2
523[+]Close OLIM UK Equity Income AccClose Brothers AM
87
338.503.7720.028.187.9
524[+]Close Select Fixed Income XClose Brothers AM
26
106.703.8610.020.4n/a
525[+]Close Strategic Alpha X AccClose Brothers AM
90
162.800.4026.236.977.3

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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