Showing fund managers & funds available in United Kingdom. View fund & fund manager rankings globally

Funds & Fund Managers

All calculations in GBP, unless stated
over :
 Average Total Return : 0.7% (31 March 2018 - 31 March 2019)
Currency Total Return Standard Deviation Max Drawdown
1 of 27

B Settlement SICAV-SIF DSC Globes Eurpean Strtgy B

GBP

16.6%

8.5

-5.1%

2 of 27

BlackRock Mix Fonds 5 R EUR

GBP

9.7%

11.0

-9.6%

3 of 27

AAMMF Verzekeringen Beleggingsfonds Offensief

GBP

6.1%

9.5

-8.6%

4 of 27

BNP Paribas L1 Sustainable Active Growth CL Cap

GBP

5.7%

10.2

-8.1%

5 of 27

BL Global 75 B Cap

GBP

4.8%

6.6

-5.4%

6 of 27

BSF Managed Index Ptfls - Growth D5 EUR

GBP

3.3%

9.4

-9.7%

7 of 27

BlackRock Market Advantage Strategy B EUR Acc

GBP

3.2%

7.5

-6.4%

8 of 27

Jupiter Merlin Intl Balanced Portfolio GBP L Acc

GBP

2.7%

6.1

-6.6%

9 of 27

JSS GlobalSar - Growth (EUR) P EUR acc

GBP

2.5%

8.1

-7.5%

10 of 27

Carmignac Pfl Long-Short Eu Eq F EUR acc

GBP

2.3%

7.0

-6.6%

11 of 27

NatWest Balanced Growth

GBP

2.2%

9.1

-9.7%

12 of 27

SWC (LU) PF Responsible Ambition (EUR) AT

GBP

1.4%

7.5

-7.7%

13 of 27

CPR Invest - Dynamic - I - ACC

GBP

0.8%

9.7

-10.8%

14 of 27

JB Strategy Growth-EUR B

GBP

0.7%

9.2

-9.5%

15 of 27

LO Selection - Growth (EUR) MA

GBP

0.0%

8.9

-10.4%

16 of 27

Pacific Multi-AssetAccumulator Plus GBP C

GBP

-0.1%

7.9

-8.4%

17 of 27

Nordea FoF Multi Manager Fund Aggressive BP EUR

GBP

-0.2%

9.5

-10.6%

18 of 27

Kames Global Diversified Growth B Acc GBP hgd

Currency exposure is hedged

Currency exposure is hedged

GBP

-0.5%

9.0

-9.5%

19 of 27

Russell Investments Mlt-Asset Gth Str EUR A RollUp

GBP

-1.0%

5.1

-5.5%

20 of 27

LGT Sustainable Strategy 5 Years (EUR) B

GBP

-1.6%

7.5

-7.8%

21 of 27

UBS (Lux) Strategy Fd - Growth (EUR) P-acc

GBP

-1.8%

8.9

-10.4%

22 of 27

SLI Glo SICAV II Enhanced-Diver MA K Acc EUR

GBP

-2.0%

7.3

-7.9%

23 of 27

Quaero Capital Global Dynamic Portfolio A EUR

GBP

-2.8%

7.6

-9.0%

24 of 27

Pergam Funds Rising Dividend R EUR Cap

GBP

-5.7%

11.8

-16.5%

25 of 27

Franklin Diversified Dynamic A (acc) EUR

GBP

-7.8%

8.5

-12.6%

26 of 27

Portland Hill SICAV European Long Only A EUR

GBP

-10.7%

18.1

-23.8%

27 of 27

Algebris Financial Income B EUR Acc

GBP

-11.3%

12.0

-16.0%

Funds with less than 12 months history are below. View 1 month performance

L&G Multi Asset Core 75 I EUR Acc

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Performance is for the period shown (month end to month end, bid/bid, gross income reinvested, calculated in the currency and currencies indicated). Portions of the information contained on this page was derived by Citywire Financial Publishers Ltd using content supplied by Lipper, A Reuters Company.

Top earner Woolnough sees outflows of £1.5 billion in February

M&G's top-earning fund manager Richard Woolnough saw £1.5 billion leave his M&G Optimal Income fund in February as investors continued to be cautious of stock markets

SVM's Mclean promises to up fund's game on ESG

Speaking to New Model Adviser, SVM Asset Management chief executive Colin McLean said purchases made by his UK Growth Fund are being more closely scrutinised for ethical considerations

‘Market attackers’ will win long term says McCombie

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The Buffett-inspired fund thriving in Brexit Britain

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Revealed: Gars pain grows with £17.2 billion blow

We've crunched the data on Gars and it is not looking good for the multi-asset strategy

Be honest about recession uncertainty, says Miton's Jane

'Visibility on economic outcomes is perhaps six to nine months ahead in terms of reality, the rest is guesswork,' according to Miton multi-asset manager David Jane

Read More