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% Return over term
Fund & Sector Perf. 1M Perf. 1Y Sort ascending Perf. 3Y Perf. 5Y Yield OCF
Architas MA Passive Dynamic D Acc
Volatility Managed
1.6 % 13 % 29.9 % 54.8 % 1.7 % 0.5 %
Aviva Investors Mlt-asset V 2 GBP Acc
Volatility Managed
1.9 % 12.7 % 26.5 % 50.9 % 0.6 % 0.59 %
HSBC Global Strategy Adventurous AC
Volatility Managed
2.3 % 12.5 % N/A N/A 0 % 0.21 %
Invesco Balanced Risk 10 UK Y Acc
Volatility Managed
0.9 % 12.4 % 19.2 % 24.5 % 0.8 % 0.72 %
Invesco Balanced Risk 10 UK Z Acc
Volatility Managed
0.9 % 12.3 % 19 % 24.2 % 0.8 % 0.77 %
HSBC Global Strategy Dynamic C Acc
Volatility Managed
2.2 % 12.2 % 31 % 62.2 % 1.2 % 0.2 %
HSBC Global Strategy Dynamic C Inc
Volatility Managed
2.2 % 12.2 % 30.9 % 62.2 % 1.2 % 0.2 %
Architas MA Passive Growth D Acc
Volatility Managed
1.7 % 12 % 30.1 % 59.7 % 1.7 % 0.5 %
ASI MyFolio Market V P1 Acc
Volatility Managed
1.9 % 11.8 % 28.7 % 53.7 % 2.2 % 0.3 %
HSBC Global Strategy Adventurous IC
Volatility Managed
2 % 11.6 % N/A N/A 0.4 % 0.21 %
HSBC Global Strategy Balanced C Inc
Volatility Managed
1.4 % 11.2 % 25.4 % 48.2 % 1.4 % 0.19 %
HSBC Global Strategy Balanced C Acc
Volatility Managed
1.4 % 11.2 % 25.5 % 48.4 % 1.3 % 0.19 %
Aviva Investors Mlt-asset IV 2 GBP Acc
Volatility Managed
1.4 % 11.1 % 21.6 % 41.1 % 0.8 % 0.58 %
L&G Multi-Index 7 I Acc
Volatility Managed
1.4 % 11.1 % 27.6 % 47 % 2.1 % 0.31 %
L&G Multi-Index 7 I Inc
Volatility Managed
1.4 % 11.1 % 27.6 % 46.9 % 2.1 % 0.31 %
Rathbone Multi Asset Enhanced Gr S Acc
Volatility Managed
1.5 % 11.1 % 27.8 % 50.8 % 1.5 % 0.75 %
Architas MA Passive Prog D Acc
Volatility Managed
1.2 % 10.8 % 26.6 % 53.1 % 1.8 % 0.48 %
SVS Cornelian Progressive RMP G GBP Acc
Volatility Managed
1.6 % 10.7 % N/A N/A 1.8 % 0.53 %
L&G Multi-Index 6 I Acc
Volatility Managed
0.9 % 10.7 % 24.9 % 43.4 % 2.1 % 0.31 %
L&G Multi-Index 6 I Inc
Volatility Managed
0.9 % 10.7 % 24.9 % 43.5 % 2.1 % 0.31 %
SVS Cornelian Progressive RMP G GBP Inc
Volatility Managed
1.6 % 10.7 % N/A N/A 1.9 % 0.67 %
Architas MA Passive Prog A Acc
Volatility Managed
1.2 % 10.7 % 26.1 % 52.1 % 1.7 % 0.63 %
Aviva Investors Mlt-asset III 2 GBP Acc
Volatility Managed
1 % 10.5 % 18.7 % 36 % 0.6 % 0.57 %
L&G Multi-Index 5 I Acc
Volatility Managed
0.7 % 10.5 % 21.4 % 39.4 % 1.9 % 0.31 %
L&G Multi-Index 5 I Inc
Volatility Managed
0.6 % 10.5 % 21.4 % 39.4 % 2 % 0.31 %
Architas MA Passive Interm Z Acc
Volatility Managed
0.7 % 10.3 % 23.4 % 46.4 % 2.1 % 0.17 %
HSBC Global Strategy Cnsv Port AC
Volatility Managed
0.7 % 10.3 % N/A N/A 0 % 0.18 %
Architas MA Passive Interm S Acc
Volatility Managed
0.7 % 10.1 % 22.7 % 44.8 % 1.9 % 0.42 %
Invesco Balanced Risk 8 UK Y Acc
Volatility Managed
0.7 % 10.1 % 15.6 % 20.2 % 0.7 % 0.68 %
Architas MA Passive Interm D Acc
Volatility Managed
0.7 % 10.1 % 22.5 % 44.7 % 1.9 % 0.47 %

Showing page 1/6. Found 179 instruments from a total of 6261.

Data provided by Morningstar.

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You should be aware that prices may fall as well as rise and that the income derived can go down as well as up. When buying or selling any investment that fluctuates in price or value you may get back less than you invested. Past performance is not necessarily a guide to future performance.