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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

Fund size   £

Launch date     

For Sale In

Equity Performance league table: 4763 equities

4763 equities
        
Perf
 
RankName Curr Symbol BidAskChangeFE fundinfo Risk Score What is FE fundinfo Risk Score?1w 1m 3m  
1951INV US CORP BND INVESCO USD CORPORATE BOND UCITS ETFUSDPUIG21.2121.240.03
91
-1.9-0.7-7.1add to basket
1952INV US ENERGY INVESCO ENERGY S&P US SECTOR UCITS ETFUSDXLES316.22316.65-0.57
180
-2.2-5.3-4.7add to basket
1953INV US ENERGY INVESCO ENERGY S&P US SECTOR UCITS ETFGBXXLEP24,043.0024,079.00-125.50
180
-2.2-5.4-4.7add to basket
1954INV US FINANCIA INVESCO FINANCIAL S&P US SECTOR UCIT ETFGBXXLFQ16,141.0016,167.00-28.00
153
-2.60.13.7add to basket
1955INV US FINANCIA INVESCO FINANCIAL S&P US SECTOR UCIT ETFUSDXLFS212.28212.590.50
153
-2.70.13.6add to basket
1956INV US HEALTHCA INVESCO HLTH CARE S&P US SECTOR UCIT ETFGBXXLVP34,053.0034,098.00-140.50
136
-1.63.23.4add to basket
1957INV US HEALTHCA INVESCO HLTH CARE S&P US SECTOR UCIT ETFUSDXLVS447.96448.42-0.04
136
-1.83.23.3add to basket
1958INV US HYFA INVESCO US HY FALL ANGEL UCITS ETFUSDHYFA24.7224.820.08
79
-1.6-1.1-6.4add to basket
1959INV US HYFA INVESCO US HY FALL ANGEL UCITS ETFGBXFAHY1,879.501,887.00-0.75
78
-1.4-1.2-6.4add to basket
1960INV US INDUST INVESCO INDUSTRIA S&P US SECTOR UCIT ETFGBXXLIP30,933.0030,975.00-312.00
145
-3.6-2.0-0.3add to basket
1961INV US INDUST INVESCO INDUSTRIA S&P US SECTOR UCIT ETFUSDXLIS406.80407.36-2.62
145
-3.7-1.9-0.4add to basket
1962INV US MATERIAL INVESCO MATERIALS S&P US SECTOR UCIT ETFUSDXLBS326.70327.14-0.66
147
-2.6-1.5-1.7add to basket
1963INV US MATERIAL INVESCO MATERIALS S&P US SECTOR UCIT ETFGBXXLBP24,843.0024,877.00-176.00
147
-2.3-1.4-1.5add to basket
1964INV US MLP A INVESCO MORN* US ENERGY INFRA MLP ETF AGBXMLPQ5,151.005,173.0015.00
178
-2.8-11.0-18.3add to basket
1965INV US MLP A INVESCO MORN* US ENRGY INFRA MLP ETF AUSDMLPS67.7568.020.47
179
-2.9-10.9-18.3add to basket
1966INV US MLP B INVESCO MORN* US ENERGY INFRA MLP ETF BGBXMLPP3,204.003,217.009.50
177
-2.8-11.0-18.3add to basket
1967INV US MLP B INVESCO MORN* US ENRGY INFRA MLP ETF BUSDMLPD42.1542.470.29
179
-3.0-11.0-18.3add to basket
1968INV US REAL EST INVESCO REAL EST SP US SELECT SECTOR ETFUSDXRES19.3419.370.04
138
-2.6-2.9-10.4add to basket
1969INV US TECH INVESCO TECHNOLOG S&P US SECTOR UCIT ETFUSDXLKS212.69212.89-0.03
149
-3.50.31.5add to basket
1970INV US TECH INVESCO TECHNOLOG S&P US SECTOR UCIT ETFGBXXLKQ16,171.0016,256.00-45.50
148
-3.40.21.5add to basket
1971INV US UTILS INVESCO UTILITIES S&P US SECTOR UCIT ETFGBXXLUP29,489.0029,529.00-105.50
134
-1.3-2.1-7.2add to basket
1972INV US UTILS INVESCO UTILITIES S&P US SECTOR UCIT ETFUSDXLUS387.83388.120.26
135
-1.6-2.2-7.3add to basket
1973INV.PERP.SEL BR BALANCED RISK ALLOC SHS 1PGBXIVPB142.00146.000.00
44
0.01.43.6add to basket
1974INV.PERP.SEL GL GLBL EQTY INC SHS 1PGBXIVPG202.00210.000.00
80
-1.41.04.1add to basket
1975INV.PERP.SEL MG MANAGED LIQUIDITY SHS 1PGBXIVPM102.00104.000.00
11
1.01.51.5add to basket
1976INV.PERP.SEL UK UK EQTY SHS 1PGBXIVPU174.00178.000.00
78
-1.11.44.1add to basket
1977INVESCO ASIA ORD 10PGBXIAT274.00276.00-1.50
135
-2.11.51.1add to basket
1978INVESCO EN. ORD 5PGBXIPE76.2077.000.00
77
0.51.74.9add to basket
1979INVESCO INC GTH ORD 25PGBXIVI270.00273.00-5.00
92
-0.21.12.8add to basket
1980INVESCO PERP UK ORD 20PGBXIPU564.00578.006.00
149
-1.45.59.9add to basket
1981INVESTEC BNK 22 FUND BASKET STRAT LKD NTS CAR 22/02/22SEKIBP117.780.35
576
3.728.134.6add to basket
1982INVESTEC BNK 23 FD BSKT STRGY LKD NTS CAR 17/08/23SEKIBP318.199.96
n/a
7.726.6-2.6add to basket
1983INVESTEC BNK 23 FUND BASKET STRAT LKD NTS CAR 27/03/23SEKIBP26.370.06
260
-1.6-2.9-17.4add to basket
1984INVESTEC BNK 24 FD BSKT STRAT LKD NTS CAR 09/04/24SEKIBP55.920.03
n/a
-0.11.8-3.8add to basket
1985INVESTEC BNK 24 FUND BASKET STRAT LKD NTS CAR 07/02/24SEKIBP418.19-0.35
n/a
0.320.120.9add to basket
1986INVESTEC BNK 24 FUND BSKT STRTGY LKD NTS CAR 03/05/24SEKIBP65.44-0.10
n/a
8.513.3-3.6add to basket
1987INVESTEC BNK 25 IM22 IMP PHOENIX 5.25%/FRN 18/2/25GBPIM22112.06113.06-0.01
n/a
0.60.84.8add to basket
1988INVESTEC BNK 26 IMP SENATE FLTG RTE NTS 16/01/26GBPIM38100.690.00
5
0.00.00.0add to basket
1989INVESTEC BNK 26 PIC 3.90%-TO-FXD NTS DUE 23/11/26GBPIM23103.00103.90-0.12
n/a
0.30.9n/aadd to basket
1990INVESTEC BNK 30 PIC FXD-TO-FLTG NTS 20/09/30GBPIM24106.26107.260.64
n/a
0.30.9n/aadd to basket
1991INVESTEC ORD GBP0.0002GBXINVP428.10428.50-10.90
283
-2.1-4.32.2add to basket
1992INVESTEC PREF NON-RED,NON-CUM,NON-PART PRF SHS 1PGBXINVR490.00525.00-2.50
40
0.0-3.8-5.1add to basket
1993INVESTEC T1 FXD RTE RESET PERP ADD T1 WDC SECGBP87WR98.75103.750.13
n/a
0.00.02.3add to basket
1994INVESTMENT CO. ORD 50PGBXINV324.00332.000.00
89
1.24.510.3add to basket
1995IOFINA ORD 1PGBXIOF24.5024.80-0.40
667
-7.17.0-11.2add to basket
1996IOMART ORD 1PGBXIOM352.00355.00-1.50
273
2.60.65.5add to basket
1997IP GROUP ORD 2PGBXIPO59.8060.000.20
356
-2.02.42.4add to basket
1998IQ-AI LTD ORD GBP0.01GBXIQAI4.905.10-0.15
1732
-13.4-14.9-11.2add to basket
1999IQE ORD 1PGBXIQE48.9849.12-0.76
780
5.5-32.1-0.2add to basket
2000IQGEO ORD 2PGBXIQG53.0055.000.00
322
22.718.725.6add to basket
2001IQS ESG GBL ETF IQS ESG GBL EQUITY MULTIFACTOR UCITS ETFUSDIQSA41.5541.770.02
n/a
-2.5-0.4-0.3add to basket
2002IRF EUR (DI) COM SHS USD0.0015 (DI)USDIRF0.000.00
313
-1.8-1.4-7.0add to basket
2003IRISH CONT. UTS (COMP 1 ORD EUR0.065 & UP TO 10 RED)EURICGC4.354.750.05
250
-3.10.710.6add to basket
2004IRONRIDGE ORD NPV (DI)GBXIRR9.009.500.00
550
-1.1-26.7-39.8add to basket
2005IRONVELD ORD 1PGBXIRON0.700.750.00
887
0.03.6-12.1add to basket
2006IS CB G H ISH CB ESG GBP H DGBPSUOG4.995.000.00
n/a
-0.2-0.2-0.8add to basket
2007IS $ CB 03 G H ISH $ CB 0-3 ESG U GBP H DGBPSGSU5.035.040.00
n/a
0.10.10.2add to basket
2008IS $ CBE A ISH $HY CB ESG AUSDDHYA5.005.020.01
n/a
-1.8n/an/aadd to basket
2009IS $ CRP BD AC ISHARES $ CORP BOND UCITS ETF USD (ACC)USDLQDA5.895.900.00
94
-1.8-0.7-6.9add to basket
2010IS $ FLT RTE BD ISHARES $ FLOATING RATE BOND UCITS ETFUSDFLOT5.035.030.00
76
-1.8-1.3-6.2add to basket
2011IS $ HY CP BND IS $ HY CORPORATE BND UCITS ETF USD ACCUSDIHYA5.645.660.01
74
-1.8-1.6-6.1add to basket
2012IS $ TB 0-1 UA ISH $ TR BND 0-1YR U-AUSDIB015.105.100.00
n/a
-1.7-1.3-6.5add to basket
2013IS $ TB 0-1 UD ISH $ TR BND 0-1YR U-DUSDIBTU5.035.040.00
n/a
-1.7-1.3-6.5add to basket
2014IS $ TB 7-10 GD ISH $ TBILLS 7-10YR GBP HEDGED DISGBPIGTM5.275.28-0.01
n/a
0.00.0-2.2add to basket
2015IS $ TY GBPH ISH $ TSY BND UCITS GBP HDGEDGBPGOVP4.994.99-0.01
n/a
-0.10.1n/aadd to basket
2016IS $CP 0-3 ESG ISHARES $ CORP BOND ESG 0-3YR UCITS ETFUSDSUSU5.085.100.00
n/a
-1.7-1.2-6.5add to basket
2017IS $CPBD R-H AC ISH $ CRP BND INT RT HGD ETF USD ACCUSDHLQD5.425.440.02
n/a
-1.7-0.9-4.3add to basket
2018IS $SD HYCPBD A ISH $ ST DUR HY CRP BND ETF USD ACCUSDSDHA5.365.370.01
n/a
-1.9-1.7-6.3add to basket
2019IS $UL-SH BD A ISH $ ULTRASRT BND ETF USD ACCUSDERNA5.205.220.00
n/a
-1.7-1.3-6.4add to basket
2020IS BG RL CMT-G ISH BBG ROLL SELECT SWAP CMDT ETFGBPROLG3.513.520.00
n/a
-1.8-4.7-7.0add to basket
2021IS BG RL CMT-U ISH BBG ROLL SELECT SWAP CMDT ETFUSDROLL4.614.640.03
n/a
-2.4-4.9-6.9add to basket
2022IS C EUR SX 50 ISHARES CORE EUR STX 50USDISX5130.82131.040.02
114
-2.3-2.0-0.5add to basket
2023IS CP 0-3 ESG ISHARES EUR CRP BOND ESG 0-3YR UCITS ETFGBXSUSS422.45422.85-1.10
59
-0.7-2.0-6.6add to basket
2024IS CP ESG ISHARES EUR CORP BOND ESG UCITS ETFEURSUOE5.215.220.00
n/a
-1.2-2.4-7.5add to basket
2025IS DIV COMM SWP ISHARES DIVERSIFIED COMM SWP UCITS ETFUSDICOM4.894.890.03
99
-2.3-4.9-6.8add 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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