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0 39549315

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: 5636 equities

5636 equities
        
Perf
 
RankName Curr Symbol BidAskChangeFE fundinfo Risk Score What is FE fundinfo Risk Score?1w 1m 3m  
2176HSBC MWCPAB ETF HSBC MSCI WORLD CLIMATE PARIS UCITS ETFGBPHPAO20.690.00
102
-1.1-3.53.3add to basket
2177HSBC NGSCON ETF HSBC NASDQ GLOBL SEMICONDUCTR UCITS ETFGBPHNSS11.140.00
226
-1.6-7.49.0add to basket
2178HSBC NGSCON ETF HSBC NASDQ GLOBL SEMICONDUCTR UCITS ETFUSDHNSC8.5019.430.00
225
-1.3-7.29.2add to basket
2179HSBC S&P 500 AC HSBC S&P 500 UCITS ETF USD (ACC)USDHSPA47.620.00
97
-1.2-3.35.2add to basket
2180HSBC S&P 500 AC HSBC S&P 500 UCITS ETF USD (ACC)GBPHSPS38.130.00
96
-1.2-3.25.4add to basket
2181HSBC S&P 500 CH HSBC S&P 500 UCITS ETF CHF HEDGEDCHFHSPC39.740.00
n/a
-1.9-5.7-2.5add to basket
2182HSBC S&P 500 HSBC S&P 500 UCITS ETFGBXHSPX4,064.300.00
102
-1.2-3.25.5add to basket
2183HSBC S&P 500$ HSBC S&P 500 UCITS ETF $USDHSPD50.750.00
102
-1.2-3.35.2add to basket
2184HSBC UK SUS DIS HSBC UK SUSTAINABLE EQ ETF GBP (DIST)GBPHUKS16.760.00
104
1.00.88.3add to basket
2185HSBC UK SUS DIS HSBC UK SUSTAINABLE EQ ETF GBP (DIST)USDHUKD20.940.00
106
1.91.69.0add to basket
2186HSBC UK SUS ETF HSBC UK SUSTAINABLE EQUITY ETFGBPHSUK17.740.00
109
1.81.69.2add to basket
2187HSBC US SUS ETF HSBC USA SUSTAINABLE EQUITY ETFGBPHSUS21.060.00
96
-1.1-3.72.4add to basket
2188HSBC US SUS ETF HSBC USA SUSTAINABLE EQUITY ETFUSDHSUD26.280.00
97
-1.1-3.82.1add to basket
2189HSBC USA SU DIS HSBC USA SUS EQ UCITS ETF USD (DIST)USDHSDU25.640.00
91
-1.2-3.82.1add to basket
2190HSBC USA SU DIS HSBC USA SUS EQ UCITS ETF USD (DIST)GBPHSSU20.530.00
89
-1.1-3.72.3add to basket
2191HSBC WESG BD AC HSBC WLD ESG BIODIV SCREENED ETF USD ACCGBPHBDS28.810.00
104
-1.3-4.31.8add to basket
2192HSBC WESG BD AC HSBC WLD ESG BIODIV SCREENED ETF USD ACCUSDHBDV35.980.00
103
-1.3-4.41.6add to basket
2193HSBC WW EQ $ HSBC MULTI FACTOR WORLDWIDE EQ UCITS $USDHWWD27.390.00
92
-1.3-3.05.2add to basket
2194HSBC WW EQ HSBC MULTI FACTOR WORLDWIDE EQ UCITSGBPHWWA21.940.00
92
-1.3-2.75.5add to basket
2195HSS HIRE ORD GBP0.01GBXHSS7.669.900.00
365
14.8-8.8-13.1add to basket
2196HUDDLED GROUP ORD GBP0.00040108663GBXHUD3.003.50-0.10
573
0.042.68.1add to basket
2197HUMMINGBIRD ORD 1PGBXHUM8.509.30-0.12
843
24.459.9-6.5add to basket
2198HUNTING ORD 25PGBXHTG319.00382.000.00
439
-0.77.212.0add to basket
2199HUTCHMED ORD USD0.10GBXHCM300.000.00
530
1.412.148.5add to basket
2200HVIVO ORD 0.1PGBXHVO27.5028.200.05
445
-2.5-5.1-4.6add to basket
2201HYDROGEN L&G HYDROGEN ECONOMY ETFGBXHTWG358.880.00
196
0.8-2.80.8add to basket
2202HYDROGEN L&G HYDROGEN ECONOMY ETFUSDHTWO3.915.100.00
190
1.2-2.61.0add to basket
2203HYDROGEN UTOPIA ORD 0.1PGBXHUI7.509.000.25
n/a
-15.8-5.945.5add to basket
2204HYDROGENONE ORD GBP0.01GBXHGEN42.0048.60-2.00
365
5.14.3-12.1add to basket
2205HYEM HY BOND VANECK EMERGING MARKET HY BOND UCITS ETFGBPHYGB90.550.00
66
-0.40.63.5add to basket
2206HYEM HY BOND VANECK EMERGING MARKET HY BOND UCITS ETFUSDHYEM113.090.00
67
-0.40.53.3add to basket
2207HYLD CP USD ACC ISHARES GL HYLD CRP BOND UCITS USD (ACC)EURHYEA5.320.00
49
-0.5-0.11.0add to basket
2208HYLD CP USD ACC ISHARES GL HYLD CRP BOND UCITS USD (ACC)USDHYLA5.680.00
50
-0.5-0.30.8add to basket
2209I $ S DR C BD A IS $ SHRT DUR CORP BND UCITS ETF USD ACCUSDSDIA5.690.00
57
-0.40.71.3add to basket
2210I $ TR BD 1-3 A ISHS $ TR BND 1-3YR UCITS ETF USD (ACC)USDIBTA5.400.00
60
-0.50.80.9add to basket
2211I $CP BD HD D IS $CORP BND UCITS EUR HEDGED (DIST)EURLQEE3.680.00
80
-0.6-3.5-4.7add to basket
2212I CRE ECRP BD A ISH CORE EUR CORP BOND UCITS EUR (ACC)EURIEAA4.934.960.00
50
-0.6-1.0-0.4add to basket
2213I E HY CP BND A IS E HIGH YIELD CRP BND UCITS EUR (ACC)EURHIGH5.600.00
57
-0.6-0.30.5add to basket
2214I FT RT BD H IS $ FLOT RATE BOND ETF GBP HEDGE (DIST)GBXFLOS486.030.00
10
0.20.51.7add to basket
2215I ITRM CRDT BND ISHARES INTERMEDIATE CREDIT BONDUSDICBU4.710.00
60
-0.3-0.3-0.1add to basket
2216I US MT BC SC A IS US MORT BACK SEC UCITS ETF USD ACCUSDIMBA4.880.00
64
-0.5-1.8-2.6add to basket
2217I UST 7-10 D GB IVZ US TRES BND 7-10Y UCITS ETF DST GBXGBXTRXG2,761.250.00
69
-0.4-1.8-4.3add to basket
2218I(X) NET ZERO ORD NPVGBXIX.17.0020.000.50
937
2.920.0-16.3add to basket
2219I3 ENERGY ORD 0.01PGBXI3E10.720.00
455
-14.5-4.721.7add to basket
2220IBNDSDEC26$COR ISH IBONDS DEC 2026 TRM $ CRP GBP HGBPD26G5.010.00
n/a
0.0-0.5n/aadd to basket
2221IBNDSDEC28$COR ISH IBONDS DEC 2028 TRM $ CRP GBP HGBPD28G4.980.00
n/a
0.1-1.4n/aadd to basket
2222IBSTOCK ORD 1PGBXIBST145.00149.800.00
221
-1.6-2.2-2.7add to basket
2223ICBCCSS&P500USD ICBCCS S&P CHINA 500 UCITS ETF CLASS USDUSDCHIN10.570.00
175
2.35.215.2add to basket
2224ICELAND BONDCO ICELTD 4 5/8 03/15/25GBP13DZ99.870.00
19
0.00.02.4add to basket
2225ICG ENT TRST ORD 10PGBXICGT1,206.000.00
171
-0.71.53.1add to basket
2226ICG-LONGBOW ORD NPVGBXLBOW21.0024.800.00
221
1.82.75.8add to basket
2227ICONIC LABS ORD GBP0.0001GBXICON5.250.00
n/a
0.00.084.0add to basket
2228IDOX ORD 1PGBXIDOX65.000.00
141
1.63.8-1.2add to basket
2229IG DESIGN GRP. ORD 5PGBXIGR158.00165.001.50
535
31.736.812.3add to basket
2230IG GROUP ORD 0.005PGBXIGG734.00775.000.00
178
3.63.47.6add to basket
2231IKIGAI VENTURES ORD NPVGBXIKIV43.0048.00-1.00
44
0.00.00.0add to basket
2232ILIKA PLC ORD 1PGBXIKA28.0031.00-0.50
703
5.37.5-16.7add to basket
2233IMAGE SCAN HLDG ORD 1PGBXIGE1.251.500.00
669
14.610.0-14.1add to basket
2234IMC EXPLORATION ORD EUR0.001 (CDI)GBXIMC1.301.600.00
1048
-6.5-12.1-27.5add to basket
2235IMI ORD 28 4/7PGBXIMI1,670.002,000.0076.00
202
1.6-2.13.9add to basket
2236IMMUPHARMA ORD 1PGBXIMM2.002.070.00
824
-5.8-4.249.6add to basket
2237IMP AA FRN25 IMP AA 4.125%/FRN 31/7/25 GBP1000GBPIM6389.850.00
0
0.00.00.0add to basket
2238IMP AV FRN50 IMP AVIVA 5.125%/FRN 4/6/50 GBP1000GBPIM8898.030.00
0
0.00.00.0add to basket
2239IMP BARC FRN IMP BARC BK PERP FRNGBPIM21100.000.00
0
0.00.00.0add to basket
2240IMP BT FRN25 IMP BT 4.20%/FRN 10/12/25 GBP1000GBPIM7293.880.00
0
0.00.00.0add to basket
2241IMP OM NT25 IMP OLD MUT 6.95% NTS 3/11/25 GBP1000GBPIM54120.060.00
0
0.00.00.0add to basket
2242IMP TW FRN25 IMP THA WTR 4%/FRN 19/6/25 GBP1000GBPIM56100.280.00
0
0.00.00.0add to basket
2243IMP.BRANDS ORD 10PGBXIMB1,790.001,850.00-14.50
148
1.73.60.3add to basket
2244IMPACT HEALTH ORD 1PGBXIHR83.600.00
156
0.0-0.70.7add to basket
2245IMPAX ASSET MAN ORD 1PGBXIPX441.500.00
376
-0.1-5.0-12.2add to basket
2246IMPAX ENV.MKT ORD 10PGBXIEM382.000.00
164
-1.3-5.11.9add to basket
2247INC&GWTH VCT ORD 1PGBXIGV68.5071.500.00
117
0.00.01.4add to basket
2248INCHCAPE ORD 10PGBXINCH652.00937.000.00
253
10.59.716.2add to basket
2249INDIA BOND L&G INDIA INR GOVERNMENT BOND UCITS ETFUSDTIGR8.770.00
58
-0.70.41.5add to basket
2250INDIA BOND L&G INDIA INR GOVERNMENT BOND UCITS ETFGBXTIGG705.300.00
57
-0.21.02.2add 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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