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 : -1.1% (31 May 2018 - 31 May 2019)
Currency Total Return Standard Deviation Max Drawdown
1 of 69

JPM Dynamic Multi-Asset USD C Acc

GBP

7.8%

5.1

-2.2%

2 of 69

Robeco QI Conservative Multi Asset D EUR

GBP

3.9%

3.7

-2.5%

3 of 69

HSBC GIF Multi Asset Style Factors Z C EUR

GBP

6.1%

4.7

-2.6%

4 of 69

AXA WF Global Income Generation I C EUR

GBP

2.5%

5.0

-4.0%

5 of 69

Natixis Conservative Risk Parity R/A (EUR)

GBP

2.3%

4.6

-4.1%

6 of 69

Latitude Horizon GBP Inc

GBP

2.2%

5.6

-4.2%

7 of 69

EIS PB Flexible Macro I EUR

GBP

-1.0%

4.3

-4.3%

8 of 69

JPM Dynamic Multi-Asset EUR C Acc

GBP

1.4%

4.9

-4.9%

9 of 69

LO Funds - All Roads Growth EUR SA

GBP

4.3%

8.3

-5.0%

10 of 69

Nordea FoF Multi Manager Fund Total Return BP EUR

GBP

-1.5%

3.9

-5.2%

11 of 69

Vontobel Fund - Multi Asset Income - I - EUR

GBP

-0.3%

5.2

-5.2%

12 of 69

PARVEST Diversified Dynamic Classic D EUR

GBP

1.5%

5.9

-5.3%

13 of 69

L&G Diversified EUR C EUR Acc

GBP

3.6%

6.1

-5.4%

14 of 69

Stork Fund - Dynamic Multi-Strategies O EUR

GBP

0.3%

4.8

-5.5%

15 of 69

Moorea Fund Serenity RE Cap

GBP

-0.2%

4.6

-5.5%

16 of 69

BSF European Select Strategies A2 EUR

GBP

1.7%

4.9

-5.5%

17 of 69

Bueno Global Strategy

GBP

1.4%

5.2

-5.6%

18 of 69

Comgest Growth Global Flex EUR I Acc

GBP

10.1%

8.5

-5.6%

19 of 69

Priv II Wlth Mgt Novelty Fixed Inc FlexiStrategy

GBP

2.7%

5.9

-5.6%

20 of 69

PIMCO GIS Dynamic Multi-Asst Inst GBP Hgd Acc

Currency exposure is hedged

Currency exposure is hedged

GBP

0.4%

6.8

-5.7%

21 of 69

Multicooperation SICAV - GAM MA Strategic Alloc B

GBP

-1.4%

4.2

-5.8%

22 of 69

Invesco Global Income A Acc EUR

GBP

-0.3%

5.5

-5.9%

23 of 69

BSF Dynamic Diversified Growth A2 EUR

GBP

0.6%

5.5

-6.0%

24 of 69

F&C HVB Stiftungsfonds A Dis

GBP

-1.7%

4.7

-6.1%

25 of 69

CS (Lux) FundSelection Yield EUR B

GBP

-0.3%

5.2

-6.1%

26 of 69

AXA WF Defensive Optimal Income A C EUR

GBP

-1.9%

3.9

-6.1%

27 of 69

White Fleet II - Globes Portfolio Sixty R

GBP

-1.0%

4.9

-6.1%

28 of 69

UniInstitutional Structured Credit High Yield

GBP

0.7%

5.6

-6.4%

29 of 69

THEAM Quant- Multi Asset Diversified Defens C EUR

GBP

0.5%

6.3

-6.4%

30 of 69

Diversified Growth Company- Horizonte A EUR

GBP

-0.1%

5.1

-6.4%

31 of 69

BL Global Flexible EUR B Cap

GBP

5.4%

7.6

-6.4%

32 of 69

Seeyond Multi Asset Conservative Growth Fd RAE

GBP

0.1%

5.1

-6.4%

33 of 69

BGF ESG Multi-Asset A2 EUR

GBP

2.3%

6.3

-6.6%

34 of 69

Threadneedle (Lux)-Euro Dynamic Real Return AE

GBP

-1.2%

6.0

-6.8%

35 of 69

Investec GSF Global Dvsfd Growth (Euro) C Acc EUR

GBP

-3.2%

5.3

-6.9%

36 of 69

HNC Advisors Diversified Multi-Asset-Class UI EUR

GBP

-0.5%

5.6

-7.0%

37 of 69

THEAM Quant - Absolute Alpha I Cap

GBP

-3.2%

6.8

-7.0%

37 of 69

Schroder ISF Glo Diversified Growth A Acc

GBP

-4.1%

5.7

-7.0%

39 of 69

M&G(LUX)Income Allocation EUR A M F2

GBP

-2.0%

6.4

-7.2%

40 of 69

Protea Fund - Aktarus B Cap

GBP

-2.8%

7.2

-7.2%

41 of 69

Mirabaud Horizon

GBP

-4.2%

5.3

-7.2%

42 of 69

Plurimi Diversified Dynamic Solution A EUR

GBP

1.1%

8.2

-7.5%

43 of 69

Generali IS Global Multi Asset Income D Cap EUR

GBP

-2.8%

5.6

-7.5%

44 of 69

BNP Paribas A Fd EU Mult-Asst Inc Classic Cap

GBP

-1.0%

5.5

-7.6%

45 of 69

Agenda SICAV - Liquid Premium A Cap EUR

GBP

-5.6%

4.1

-7.8%

46 of 69

Pentalpha Onyx Fund (EUR) B2

GBP

-3.6%

5.7

-7.8%

47 of 69

Seeyond Multi Asset Diversif Growth Fund R/A (EUR)

GBP

-0.2%

6.7

-8.0%

48 of 69

DWS Invest Multi Opport GBP CH RD

GBP

-0.5%

8.0

-8.0%

49 of 69

Pictet Select-Callisto-R EUR

GBP

-3.9%

5.5

-8.2%

50 of 69

AXA WF Global Optimal Income A C EUR

GBP

-3.7%

6.8

-8.3%

51 of 69

AXA WF Optimal Income A Cap EUR pf

GBP

-2.2%

7.1

-8.7%

52 of 69

UBS (Lux) KSS-Gl Alloc Focus Europe (EUR) P-acc

GBP

-1.2%

7.7

-8.9%

53 of 69

UBS (Lux) KSS - Global Allocation (EUR) P-acc

GBP

-0.6%

8.6

-9.0%

54 of 69

Parvest Flexible Multi-Asset Cl EUR Cap

GBP

-5.2%

5.5

-9.0%

55 of 69

Palessia MAF SIC-SIF - Globes Personal Strat A EUR

GBP

-4.3%

5.6

-9.2%

56 of 69

M&G(LUX)Dynamic Allocation Sterling C-H ACC

Currency exposure is hedged

Currency exposure is hedged

GBP

-5.4%

10.3

-9.2%

57 of 69

AXA Selection Carmignac Convictions Retail R EUR

GBP

-3.5%

6.4

-9.2%

58 of 69

OYSTER Multi-Asset Diversified C EUR

GBP

-6.7%

6.3

-9.7%

59 of 69

Millennium Global Opportunities P I

GBP

-2.6%

9.1

-10.4%

60 of 69

Carmignac Pfl Patrimoine F EUR acc

GBP

-5.3%

6.9

-10.6%

61 of 69

Carmignac Patrimoine A EUR acc

GBP

-5.8%

6.9

-11.0%

62 of 69

Belvoir Global Allocation II Universal

GBP

-7.8%

10.0

-11.7%

63 of 69

R-Co Valor PB EUR

GBP

-1.5%

14.8

-13.3%

64 of 69

LF Ruffer European O Acc

GBP

-2.6%

13.9

-13.4%

65 of 69

Magna Emerging Markets EUR B

GBP

-4.7%

16.1

-13.6%

66 of 69

Dorval Convictions R

GBP

-12.0%

8.8

-13.8%

67 of 69

DGC - Flexible Allocation A CHF

GBP

-6.0%

12.0

-15.5%

68 of 69

Priv II Wlth Mgt Novelty Flex Strategy MultiAsset

GBP

-10.4%

9.6

-16.8%

69 of 69

Quaero Capital Funds World Opportunities A USD

GBP

-10.9%

16.0

-17.5%

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

AXA WF ManTRA Core V A C EUR

BNY Mellon Global Multi-Asset Income Euro A Inc

Danske Invest SICAV Multi Asset Infl Strat A

DWS Invest Climate Tech LC

FCS Quantum A EUR

M&G (Lux) Sustainable Allocation EUR A Acc

Mirova Europe Sustainable Economy Fund I/A (EUR)

ML Tiber Evolution D EUR

Variopartner SICAV Vontobel Conviction Bal EUR F


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.

Invesco ramps up Brooks Macdonald stake with £4.2m buy

Invesco has ramped up its backing for Brooks Macdonald from 3.4% of equity to 5.3%.

Should we fear a major credit accident?

There is a split in opinion on credit exposure as bond markets grapple with the normalisation of monetary policy.

M&G launches UK version of ethical multi-asset strategy

M&G has launched a UK version of the sustainable multi-asset fund it launched in Luxembourg at the end of last year.

Edouard Carmignac steps down from flagship Patrimoine fund

The French founder relinquishes his portfolio management duties after 30 years on the fund

After the sugar rush: what 2019 holds for the US

Experts have their say on how macro economics and politics will affect US investment opportunities this year

'Spaghetti junction': 10 voices on May's historic Brexit loss

With three months left before the UK is set to leave the EU, a cloud of uncertainty hangs over the markets

You're hired! Top 20 wealth and fund moves in September

Summer may be over, but the wealth and asset management industry's quest for talent shows no sign of dimming.

Schroders’ global income multi-asset head departs

Schroders’ head of multi-asset global income Aymeric Forest has left the business to pursue opportunities outside of the company.

Five giant funds investors are selling en masse

Citywire Selector takes a closer look at the heavyweights who sought huge withdrawals over the past six months.

Invesco Perpetual launches low cost multi-asset range

Invesco Perpetual has launched a multi-asset range, which will combine active and passive strategies to keep costs down.

Read More