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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  
3301LEXINGTON GOLD COM SHS USD0.003 (DI)GBXLEX4.705.30-0.20
456
0.035.133.3add to basket
3302LG AI ETF LG ARTIFICIAL INTELLIGENCE ETFGBXAIAG1,461.400.00
204
-0.5-5.12.1add to basket
3303LG AI ETF LG ARTIFICIAL INTELLIGENCE ETFUSDAIAI16.0023.001.25
203
-0.6-5.31.8add to basket
3304LG CHINA BOND L&G CHINA CNY BOND UCITS ETFUSDDRGN9.540.00
59
-0.41.41.8add to basket
3305LG CHINA BOND L&G CHINA CNY BOND UCITS ETFGBXDRGG764.300.00
57
-0.41.52.0add to basket
3306LG ENCO GBP HDG L&G MULTISTRAT ENHANCED COMMOD GBP HDGDGBXECGH1,014.700.00
n/a
-2.00.23.1add to basket
3307LG ENCO USD DIS L&G MULTISTRAT ENH COMMODITIES - USD DISUSDENCD10.120.00
n/a
-2.21.4n/aadd to basket
3308LG ENTR USD ACC L&G ENERGY TRANSITION CMDTS - USD ACCGBXETRA821.550.00
n/a
-0.1n/an/aadd to basket
3309LG ENTR USD ACC L&G ENERGY TRANSITION CMDTS - USD ACCUSDENTR10.260.00
n/a
-0.2n/an/aadd to basket
3310LG ESG CORP 05 LG ESG GBP CORP BOND 0-5 YEARS ETFGBXGBP5946.550.00
31
0.0-0.50.3add to basket
3311LG ESG CORP LG ESG GBP CORP BOND ETFGBXGBPC797.400.00
69
0.1-1.8-0.8add to basket
3312LG ESG EM CORP LG ESG EM CORP BONDGBXEMUG678.200.00
59
-0.6-0.41.1add to basket
3313LG ESG EM CORP LG ESG EM CORP BONDUSDEMUS8.470.00
58
-0.7-0.60.8add to basket
3314LG ESG EM GOV LG ESG EM GOV BOND USD 0-5 YEARS ETFGBXEMDG706.600.00
62
-0.30.83.7add to basket
3315LG ESG EM GOV LG ESG EM GOV BOND USD 0-5 YEARS ETFUSDEMD58.810.00
58
-0.60.53.3add to basket
3316LG ESG USD CORP LG ESG USD CORP BONDGBXUSDG671.450.00
63
-0.2-0.9-1.0add to basket
3317LG ESG USD CORP LG ESG USD CORP BONDUSDUSDC8.390.00
60
-0.3-1.0-1.2add to basket
3318LG EU PAB ETF LG EU ESG EXCL PARIS ALIGNED UCITS ETFEURRIEU15.030.00
106
-0.9-2.24.1add to basket
3319LG EU PAB ETF LG EU ESG EXCL PARIS ALIGNED UCITS ETFGBXRIEG1,285.500.00
107
-1.0-2.24.0add to basket
3320LG HEALTH ETF LG HEALTHCARE BREAKTHROUGH UCITS ETFGBXDOCG867.700.00
174
-1.9-6.4-1.8add to basket
3321LG HEALTH ETF LG HEALTHCARE BREAKTHROUGH UCITS ETFUSDDOCT10.840.00
176
-1.8-6.8-1.9add to basket
3322LG QDIV ESG EM L&G QUALITY EQ DIV ESG EXCL EM UCITS ETFGBXLDME773.100.00
87
1.41.76.3add to basket
3323LG QDIV ESG EM L&G QUALITY EQ DIV ESG EXCL EM UCITS ETFUSDLDEM9.650.00
89
1.31.66.1add to basket
3324LG RUS2000 QUAL L&G RUSSELL 2000 SM CAP QUALITYGBXRTWP7,521.500.00
150
-1.6-6.33.3add to basket
3325LG RUS2000 QUAL L&G RUSSELL 2000 SM CAP QUALITYUSDRTWO91.8896.000.00
147
-1.4-5.73.3add to basket
3326LG UK GILT 0-5 LG UK GILT 0-5 YEARS ETFGBXUKG5931.100.00
25
-0.1-0.6-0.5add to basket
3327LG US PAB ETF LG US ESG EXCL PARIS ALIGNED UCITS ETFGBXRIUG1,398.600.00
111
-1.0-3.64.9add to basket
3328LG US PAB ETF LG US ESG EXCL PARIS ALIGNED UCITS ETFUSDRIUS17.480.00
111
-1.2-3.84.7add to basket
3329LG WATER ETF LG CLEAN WATER ETFUSDGLUG15.0019.340.00
129
-0.4-2.47.8add to basket
3330LG WATER ETF LG CLEAN WATER ETFGBXGLGG1,372.600.00
129
-0.5-2.67.6add to basket
3331LG XAGZ USD ACC L&G MULTISTRAT ENH CMDTS EX-AG - USD ACCUSDXAGZ9.870.00
n/a
n/an/an/aadd to basket
3332LIBERTINE HOLD ORD GBP0.001GBXLIB2.504.00-0.25
2187
-17.6-17.6100.0add to basket
3333LIFE SCIENCE ORD GBP0.01GBXLABS39.000.00
242
1.01.9-28.7add to basket
3334LIFE SETTLEMEN ORD SHS USD0.01USDLSAA1.730.00
136
2.87.38.0add to basket
3335LIFESAFE HLDG ORD 1PGBXLIFS11.0016.001.50
450
0.04.3-29.4add to basket
3336LIGHT SCIENCE ORD 1PGBXLST2.102.60-0.10
792
-7.5-5.80.4add to basket
3337LIKEWISE GRP ORD GBP0.01GBXLIKE15.5016.500.00
355
0.0-5.9-20.8add to basket
3338LIMITLESS EAR. ORD 1PGBXLME1.202.500.25
319
-28.9-28.9-28.9add to basket
3339LINDSELL TRAIN ORD 75PGBPLTI680.00912.000.00
173
-0.3-0.6-6.1add to basket
3340LIONTRUST A.M. ORD 1PGBXLIO606.00742.000.00
330
0.70.39.2add to basket
3341LITERACY CAP ORD GBP0.001GBXBOOK517.500.00
151
3.87.46.7add to basket
3342LITIGATION CAP. ORD NPV (DI)GBXLIT106.00120.000.00
272
0.04.914.7add to basket
3343LIVE COMPANY ORD 1PGBXLVCG0.400.550.00
n/a
-18.2-43.8-78.0add to basket
3344LIVERMORE ORD NPVGBXLIV18.5041.500.00
218
2.010.3-6.8add to basket
3345LLOYDS BK. 25 7.625% DATED SUBORD NTS 22/04/25GBP61MP101.750.00
28
-0.1-0.3-0.9add to basket
3346LLOYDS BK.40 6.50% NTS 17/09/40GBP96QO110.650.00
113
0.2-4.3-3.8add to basket
3347LLOYDS BK.5.75% SUB CALL 5.75% TO FLTG RTE NTS 09/07/25GBP39ZJ100.010.00
0
0.00.00.0add to basket
3348LLOYDS BK.PERP 11 3/4% PERP SUB BDS #50000GBPCAGP165.750.00
102
-0.5-0.5-0.2add to basket
3349LLOYDS GRP 9.25 9.25% NON-CUM IRREDEEMABLE PREF SHSGBXLLPC137.00142.500.00
77
0.31.31.6add to basket
3350LLOYDS GRP 9.75 9.75% NON-CUM IRREDEEMABLE PREF SHSGBXLLPD150.00153.000.00
66
0.02.07.1add to basket
3351LLOYDS GRP. ORD 10PGBXLLOY48.0053.16-1.62
198
0.84.527.8add to basket
3352LLOYDS GRP6.475 6.475% NON-CUM PREFERENCE SHSGBXLLPE98.50102.700.00
41
0.00.03.9add to basket
3353LLYDS BK PLC LLOYDS BANKING GROUP PLCGBPELB9112.750.00
0
0.00.00.0add to basket
3354LMS CAPITAL ORD 10PGBXLMS18.550.00
262
2.86.90.5add to basket
3355LOGISTICS DEV ORD GBP0.01GBXLDG11.5012.000.05
233
4.04.0-4.9add to basket
3356LOKN STORE GRP ORD 1PGBXLOK1,060.001,110.00-20.00
341
-0.928.534.8add to basket
3357LON.& ASS.PROPS ORD 10PGBXLAS9.0012.000.00
510
10.55.0-4.5add to basket
3358LON.FIN&INV.GRP 5PGBXLFI43.0048.000.00
284
-9.0-11.7-7.9add to basket
3359LON.SEC ORD 1PGBXLSC2,800.003,300.000.00
188
0.00.00.0add to basket
3360LON.STK.EXCH ORD SHS 6 79/86PGBXLSEG8,700.009,000.0010.00
142
0.4-6.00.0add to basket
3361LONDON POW.27 6.125% NTS 07/06/27GBP84YJ102.550.00
40
-0.2-1.4-1.2add to basket
3362LONDON QUAD5.5% 5.5% SEC BDS 27/01/40 (BR)GBP44EB99.080.00
108
-0.2-4.1-3.5add to basket
3363LONDONMETRIC ORD 10PGBXLMP195.80198.000.00
214
1.7-3.15.5add to basket
3364LONGBOAT ENERGY ORD 10PGBXLBE17.0018.500.00
830
7.6-17.4-9.0add to basket
3365LORDS GRP TR ORD 0.5PGBXLORD46.0050.000.00
338
0.00.0-10.3add to basket
3366LOUNGERS PLC ORD 1PGBXLGRS240.00250.00-1.00
196
9.817.111.8add to basket
3367LOWLAND INV. ORD 2.5PGBXLWI122.000.00
156
1.71.86.6add to basket
3368LPA GROUP ORD 10PGBXLPA60.0070.001.00
278
0.04.1-17.4add to basket
3369LS -1X ALPHABET LEVSHARES -1X ALPHABET ETPEURSGOE5.610.00
284
-6.1-9.1-14.0add to basket
3370LS -1X ALPHABET LEVSHARES -1X ALPHABET ETPUSDGOOS6.000.00
282
-6.1-9.1-14.2add to basket
3371LS -1X ALPHABET LEVSHARES -1X ALPHABET ETPGBXSGOO480.050.00
284
-6.1-9.1-14.0add to basket
3372LS -1X AMD LEVSHARES -1X ADVANCED MICRODEVICES ETPGBXSAMD208.680.00
434
4.125.011.4add to basket
3373LS -1X AMD LEVSHARES -1X ADVANCED MICRODEVICES ETPEURSAME2.440.00
433
4.124.911.4add to basket
3374LS -1X AMD LEVSHARES -1X ADVANCED MICRODEVICES ETPUSDAMDS2.610.00
434
4.124.811.1add to basket
3375LS -1X APPLE LEVSHARES -1X APPLE ETPEURSAPE6.360.00
227
-2.21.510.8add 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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