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0 556512

FE fundinfo Risk Score

FE fundinfo Risk scores tell you how risky an investment is compared to the FTSE100. They do not show you how risky an investment is in absolute terms, but are a useful means to compare potential investments with this most widely known index.

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Performance

1 year at least   %

3 year at least   %

5 year at least   %

Yield   %  

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

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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       %
Maximum Loss
 

Maximum Loss

Maximum loss shows the maximum a fund has lost between a single peak and trough, at any time during the period you’ve selected. Effectively it shows you the worst case scenario had you invested at the peak and sold at the trough during that time.

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Period

Additional information

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For Sale In

Equity Performance league table: 6040 equities

6040 equities
        
Perf
 
RankName Curr Symbol BidAskChangeFE fundinfo Risk Score What is FE fundinfo Risk Score?1w 1m 3m  
3751LY EU ONGT RET LYXOR EURO OVERNIGHT RETURN UCITS ETFUSDCSHD133.58133.600.32
38
0.50.6-0.5add to basket
3752LY WORLD WATER AMUNDI MSCI WATER UCITS ETF DISTUSDWATU84.0984.370.94
112
2.95.74.3add to basket
3753LYX MSCI WORLD AMUNDI MSCI WORLD SWAP II UCITS ETF DISTGBXWLDL32,875.0032,905.00212.50
117
0.6-0.7-1.3add to basket
3754LYX MSCI WORLD AMUNDI MSCI WORLD SWAP II UCITS ETF DISTUSDWLDD447.35447.755.15
118
0.6-0.7-1.2add to basket
3755LYXOR CAC40 LYXOR CAC 40 - DISTGBXCACX7,076.007,079.0019.00
132
2.50.71.1add to basket
3756LYXOR CHINA A LYXOR MSCI CHINA A (DR) UCITS ETF - ACCGBXCNAL14,222.0014,254.006.00
196
-0.10.11.0add to basket
3757LYXOR CHINA A LYXOR MSCI CHINA A (DR) UCITS ETF - ACCUSDCNAA193.46194.021.11
196
-0.10.11.0add to basket
3758LYXOR DJIA $ LYXOR DOW JONES INDUSTRIAL AVG - DIST $USDDJEU501.40502.007.68
120
2.1-0.30.5add to basket
3759LYXOR DOW JONES LYXOR DOW JONES INDUSTRIAL AVG - DISTGBXDJEL36,855.0036,900.00380.00
119
2.1-0.30.4add to basket
3760LYXOR FTSE MIB LYXOR FTSE MIB UCITS ETF - DISTGBXMIBX3,976.003,978.50-5.75
145
2.30.76.3add to basket
3761LYXOR JAPAN LYXOR JAPAN (TOPIX) - DISTGBXJPNL17,260.0017,294.00342.50
144
3.24.24.5add to basket
3762LYXOR JAPAN T $ LYXOR JAPAN (TOPIX) - DIST $USDJPNU234.90235.225.85
144
3.24.24.6add to basket
3763LYXOR MSCI EM AMUNDI MSCI EMERGING MARKETS SWAP II ETFGBXLEML1,420.501,423.5014.00
133
-0.13.74.4add to basket
3764LYXOR MSCI EM AMUNDI MSCI EMERGING MARKETS SWAP II ETFUSDLEMD19.3319.370.29
134
0.03.64.5add to basket
3765LYXOR WLD WATER AMUNDI MSCI WATER UCITS ETF DISTGBXWATL6,180.006,191.0033.50
112
3.05.74.2add to basket
3766LYXOR WORLD WAT AMUNDI MSCI WATER UCITS ETF ACCUSDWATC8.368.400.11
110
3.05.74.2add to basket
3767M WINKWORTH ORD 0.5PGBXWINK182.00190.000.00
163
0.0-2.6-2.1add to basket
3768M&C SAATCHI ORD 1PGBXSAA127.00130.00-0.50
248
0.0-2.6-4.1add to basket
3769M&G CREDIT INC. ORD 1PGBXMGCI93.4095.40-0.20
85
0.20.92.6add to basket
3770M&G PLC ORD 0.05GBXMNG309.90310.202.20
170
-0.93.613.6add to basket
3771M&G UK GA ETF M&G UK GILTS ACTIVE UCITS ETFGBPMGIL9.959.980.03
n/a
-0.5-0.2n/aadd to basket
3772M&G UK ILGA ETF M&G UK INDEX-LINK GILTS ACTIVE UCITS ETFGBPMUKL10.0510.100.04
n/a
-1.40.5n/aadd to basket
3773M&G USTBA ETF M&G US TREASURY BOND ACTIVE UCITS ETFUSDMUSA10.0310.04-0.01
n/a
2.00.4n/aadd to basket
3774M&G USTBA GBP M&G US TREASURY BOND ACTIVE UCITS ETF GGBPMUSP7.377.38-0.04
n/a
2.00.4n/aadd to basket
3775M&G USTBA GBPH M&G US TREASURY BOND ACTIVE UCITS ETF GHGBPMUSS10.0510.070.00
n/a
0.20.7n/aadd to basket
3776M.P. EVANS ORD 10PGBXMPE1,310.001,315.00-5.00
213
0.46.92.7add to basket
3777MA CHINA MV ETF MA - STOXX CHINA A MIN VAR ETF - EUR CGBPM9SV120.94122.040.22
165
1.2-2.1-3.7add to basket
3778MA GOLDBUGS ETF MARKET ACCESS NYSE ARCA GOLD BUGS ETFGBPGOLB236.65247.906.08
358
-10.96.032.7add to basket
3779MA RICI ETF MARKET ACCESS - RICI INDEX ETFGBPRICI25.3425.520.16
146
-3.66.23.3add to basket
3780MACAU PROPERTY ORD USD0.01GBXMPO5.106.45-0.33
571
-4.7-6.2-57.2add to basket
3781MACFARLANE GRP. ORD 25PGBXMACF72.2073.001.00
283
1.40.07.1add to basket
3782MADE TECH ORD GBP0.0005GBXMTEC38.0038.500.00
586
2.618.220.9add to basket
3783MAEURGRAGACCGBX MAKING EUROPE GREAT AGAIN UCITS ETF ACCGBXGR8810.90815.4015.55
152
0.14.48.1add to basket
3784MAINTEL HLDGS ORD 1PGBXMAI135.00150.000.00
330
0.05.6-1.7add to basket
3785MAJEDIE INV. 10PGBXMAJE272.00282.00-2.00
234
-0.41.514.0add to basket
3786MALIBU LIFE ORD USD0.01 (DI)USDMLHL17.5517.600.00
n/a
1.3-2.9-13.6add to basket
3787MALVERN INTL ORD GBP0.01GBXMLVN25.0026.000.00
360
-1.90.0-1.9add to basket
3788MAN GROUP ORD USD0.0342857142GBXEMG261.00261.200.40
291
0.111.623.7add to basket
3789MANCHESTER&LON. ORD 25PGBXMNL750.00760.004.00
359
-2.1-6.5-16.9add to basket
3790MANOLETE PARTN. ORD 0.4PGBXMANO46.0047.000.00
501
-11.3-16.8-44.7add to basket
3791MANX FINANCIAL ORD NPVGBXMFX28.0030.000.50
537
7.45.511.5add to basket
3792MARECHALE CAP. ORD 0.8PGBXMAC2.202.400.00
935
-8.031.439.4add to basket
3793MARKS & SP. ORD 1PGBXMKS386.70387.001.40
278
5.819.30.5add to basket
3794MARKS ELECTRIC ORD GBP0.01GBXMRK46.0047.000.00
203
0.01.1-6.1add to basket
3795MARSHALLS ORD 25PGBXMSLH172.00172.205.60
333
5.6-7.9-1.7add to basket
3796MARSTONS ORD 7.375PGBXMARS60.2060.700.90
386
-1.3-5.233.3add to basket
3797MARWYN VAL. ORD 0.0001PGBXMVI139.00143.000.00
121
-2.11.85.0add to basket
3798MARWYN VALUE 16 2016 REALISATION SHS 0.0001P (DI)GBXMVIR250.00316.000.00
188
0.00.00.0add to basket
3799MARWYN VALUE 21 2021 REALISATION SHS 0.0001P (DI)GBXMVR280.00130.000.00
50
0.00.00.0add to basket
3800MAVEN GRWTH 3 ORD 10PGBXMIG343.4045.400.00
56
0.03.33.3add to basket
3801MAVEN I&G 4 ORD 10PGBXMAV450.5052.500.00
55
0.01.92.0add to basket
3802MAVEN I&G VCT5 ORD 10PGBXMIG528.0030.000.00
49
2.82.82.5add to basket
3803MAVEN INCOME 1 ORD 10PGBXMIG133.4035.400.00
72
0.03.03.0add to basket
3804MAVEN RENOVAR ORD 5PGBXMRV55.0061.000.00
97
-1.70.0-1.7add to basket
3805MAYFLOWER ACQ. ORD NPV (DI)USDMAY9.9010.500.00
n/a
-0.21.8n/aadd to basket
3806MAYFLOWER ACQ.W WTS (TO SUB FOR ORD) (DI)USDMAYW0.010.050.00
n/a
1.833.1n/aadd to basket
3807MCBRIDE ORD 10PGBXMCB158.80159.801.60
460
-0.610.438.1add to basket
3808MCDONALDS CORP MCD 4 1/8 06/11/54GBP13RP82.710.00
166
0.00.00.0add to basket
3809ME GROUP INTL. ORD 0.5PGBXMEGP137.00137.40-2.20
283
-0.7-7.0-23.9add to basket
3810MEARS GROUP ORD 1PGBXMER357.00358.50-1.00
212
-3.2-0.40.8add to basket
3811MEDCAW INVESTM. ORD GBP0.01GBXMCI2.750.00
195
0.00.0-12.7add to basket
3812MEDIAZEST ORD 0.01PGBXMDZ0.090.100.01
598
0.0-8.1-15.0add to basket
3813MEDPAL AI PLC ORD 0.02PGBXMPAL5.005.750.00
n/a
-4.4-20.4-24.6add to basket
3814MELROSE IND ORD GBP0.001GBXMRO629.40629.809.00
337
-0.40.20.1add to basket
3815MERCANTILE INV. ORD 2.5PGBXMRC265.00266.002.00
171
-0.92.96.5add to basket
3816MERCANTILE PORT ORD NPVGBXMPL0.400.450.00
n/a
-19.06.3-34.6add to basket
3817MERCANTILE6.125 6.125% SEC BDS 25/02/30GBP43OV122.00128.000.00
0
0.00.00.0add to basket
3818MERCH 5.875%REG 5.875% SEC BDS 20/12/29 (REG)GBP32OO95.00125.000.00
0
0.00.00.0add to basket
3819MERCHANTS TST ORD 25PGBXMRCH646.00648.005.00
147
2.47.013.5add to basket
3820MERCIA ASSET ORD 0.001PGBXMERC27.0028.000.00
305
0.0-6.8-7.1add to basket
3821METALS EXPLORE ORD GBP0.0001GBXMTL16.0016.301.15
580
-9.95.619.5add to basket
3822METALS ONE ORD GBP0.001GBXMET11.922.04-0.12
1802
6.2-1.9-44.1add to basket
3823METIR PLC ORD GBP0.00001GBXMET0.800.850.00
n/a
-5.70.010.0add to basket
3824METLEN ENERGY ORD EUR1.00EURMTLN35.8035.90-9.10
n/a
-5.10.1-2.1add to basket
3825METRO BANK HDGS ORD 0.0001PGBXMTRO129.20129.601.60
442
-3.24.617.8add to basket

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 unless otherwise specified.

Data provided by FE fundinfo. Care has been taken to ensure that the information is correct, but FE fundinfo 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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