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0 16886203

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   £

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For Sale In

Equity Performance league table: 5974 equities

5974 equities
        
Perf
 
RankName Curr Symbol BidAskChangeFE fundinfo Risk Score What is FE fundinfo Risk Score?1w 1m 3m  
3826MOONPIG GR ORD 10PGBXMOON204.50205.001.50
315
3.6-0.7-3.4add to basket
3827MORGAN ADVANCED ORD 25PGBXMGAM212.50213.50-1.50
283
0.59.7-1.3add to basket
3828MORGN SINDL GRP ORD 5PGBXMGNS4,680.004,690.005.00
280
1.66.710.3add to basket
3829MORTGAGE AD ORD 0.1PGBXMAB1668.00672.00-2.00
393
1.2-0.6-1.6add to basket
3830MOTHERCARE ORD 1PGBXMTC2.202.700.05
560
6.1-3.2-18.3add to basket
3831MOTORPOINT ORD 1PGBXMOTR135.00136.000.00
292
-0.70.4-17.1add to basket
3832MOUNTVIEW EST. ORD 5PGBXMTVW8,650.009,100.00-75.00
144
-0.8-4.1-9.9add to basket
3833MPAC GROUP PLC ORD 25PGBXMPAC310.00318.00-2.50
528
-5.9-11.08.3add to basket
3834MS INTL. ORD 10PGBXMSI1,400.001,430.00-20.00
414
12.3-9.01.8add to basket
3835MSC CHN US ACC MSCI CHINA TECH UCITS ETF US ACCGBPCTCE3.913.920.04
n/a
-1.3-1.7n/aadd to basket
3836MSCI CANADA CAD ISHRS MSCI CANADA UCITS ETF USD (ACC)USDCCAU277.88278.051.36
114
1.45.38.5add to basket
3837MSCI JAPAN JPY ISHRS MSCI JAPAN UCITS ETF USD (ACC)USDCJPU247.89248.140.91
146
-0.41.64.7add to basket
3838MSCI JAPAN MNTE BNPP EASY MSCI JAPAN MIN TEGBPEJAG11.1511.190.05
n/a
-0.31.6n/aadd to basket
3839MSCI JAPAN MNTE BNPP EASY MSCI JAPAN MIN TEUSDEJAP13.1113.160.04
n/a
-0.31.7n/aadd to basket
3840MSCI JPN SRI HD ISHARES MSCI JPN SRI UCT ETF GBP HDG ACCGBPJPSG9.339.360.14
166
2.04.511.0add to basket
3841MSCI US SWAP GB ISH MSCI US SWAP UCTS ETF GBP HEDG DISTGBPMUSG5.915.920.02
n/a
0.12.92.8add to basket
3842MSCI USA CTA ISHS MSCI USA CTA UCITS ETF USD (DIST)GBPUCTD4.704.710.02
134
0.20.53.5add to basket
3843MSCI WLD ENERGY ISHRS MSCI WLD ENRGY SEC UCT ETF USD DISGBPWENS5.345.35-0.01
193
-2.2-4.12.3add to basket
3844MSCI WORLD CTA ISHARES MSCI WORLD CTA UCITS ETF USD DISGBPWCTD4.694.700.02
120
0.51.54.5add to basket
3845MSCI WRLD EX-US ISH MSCI WRLD EX-US UCTS ETF US ACCGBPXUSE4.774.780.02
n/a
0.83.35.9add to basket
3846MSCI WRLD PAB BNPP EASY MSCI WORLD SRI PABEUREMWE21.0221.100.10
n/a
0.02.8n/aadd to basket
3847MSTR 3XL $ GRANITESHARES 3X LONG MSTR DAILY ETPUSD3LMI1.111.140.02
2159
-25.5-42.6-93.2add to basket
3848MSTR 3XL GRANITESHARES 3X LONG MSTR DAILY ETPGBXLMI383.0086.002.00
2159
-25.2-44.8-93.1add to basket
3849MSTR 3XS $ GRANITESHARES 3X SHORT MSTR DAILY ETPUSD3SMI66.5068.60-3.00
n/a
n/an/an/aadd to basket
3850MSTR 3XS GRANITESHARES 3X SHORT MSTR DAILY ETPGBXSMI34,975.005,120.00-222.50
n/a
n/an/an/aadd to basket
3851MTI WIRELESS ORD ILS0.01GBXMWE44.0045.000.00
452
-8.211.2-5.3add to basket
3852MULBERRY GROUP ORD 5PGBXMUL100.00105.005.00
395
5.010.57.7add to basket
3853MURRAY INC.TST. ORD 25PGBXMUT912.00914.00-1.00
125
2.11.14.3add to basket
3854MURRAY INTL.TST ORD 5PGBXMYI333.00334.001.00
118
1.46.79.9add to basket
3855MYCELX DI COM SHS USD0.025 (DI)GBXMYX25.0026.000.00
476
-7.3-10.510.9add to basket
3856N4 PHARMA PLC ORD 0.4PGBXN4P0.500.550.00
717
0.0-16.05.0add to basket
3857NAHL GROUP ORD GBP0.0025GBXNAH36.0038.80-0.60
403
-1.9-8.0-36.0add to basket
3858NAKED WINE ORD 7.5PGBXWINE69.0071.00-0.60
717
-2.3-6.0-10.0add to basket
3859NANOCO ORD 10PGBXNANO8.108.200.06
604
-3.3-10.2-21.5add to basket
3860NARF ORD GBP0.0001GBXNARF0.500.550.00
963
-4.540.0-8.7add to basket
3861NASDAQ BIO TECH ISH NASDAQ US BTEC UCITS ETF USD DISTUSDBTEE8.318.330.18
181
0.71.420.4add to basket
3862NASDAQ-100 HGBP UBS NASDAQ-100 UCITS ETF HGBP ACCGBXQQQG1,093.001,094.607.40
n/a
0.4n/an/aadd to basket
3863NAT CAP T NATIONAL CAPITAL TRUSTGBPEN18101.760.00
0
0.00.00.0add to basket
3864NAT.GAS.T36 1.754% RPI LD INTS 17/10/36GBP90ZQ83.3089.60-0.40
n/a
-0.30.91.7add to basket
3865NAT.GRD.E.SW 40 5.75% NTS 23/03/40 (BR)GBP93WO95.75100.55-0.48
73
0.01.42.1add to basket
3866NAT.GRD.E.SWL40 5.75% NTS 23/03/40 (BR)GBP93WN95.80100.50-0.48
72
-0.11.42.2add to basket
3867NAT.GRID. 31 7.375% INTS 13/01/31GBP42XK108.75112.75-0.23
n/a
0.00.20.8add to basket
3868NAT.GRID6.50% 6.50% BDS 27/07/28 (VAR)(BR)GBP47QK102.80106.00-0.05
22
0.0-0.1-0.6add to basket
3869NAT.WEST 9%PF 9% SERANON-CUM PRF #1GBXNWBD152.00155.000.00
70
0.81.26.0add to basket
3870NATIONAL GRID ORD 12 204/473PGBXNG.1,140.001,140.50-0.50
152
2.10.211.9add to basket
3871NATIONWDE.PIB FLTG RTE PERM INT BEARING SHSGBPCEBB114.50124.000.00
22
0.60.0-0.5add to basket
3872NATIONWIDE BLDG NWIDE 6 7/8 PERPGBP13OT100.140.00
0
0.00.00.0add to basket
3873NATIONWIDE CCDS CORE CAPITAL DEFERRED SHS (MIN 250 CCDS)GBPNBS129.00132.000.00
44
0.00.00.8add to basket
3874NATIONWIDE.PIBS 7.859% PERM INT BEARING SHS RECEIPTGBPNABB100.00110.000.00
30
0.0-0.5-0.7add to basket
3875NATIVO RESOURCE ORD 0.15PGBXNTVO0.300.350.00
n/a
n/an/an/aadd to basket
3876NATURAL GAS ETC NATURAL GAS ETCGBX1NGL412.50414.300.00
473
-1.0-14.64.3add to basket
3877NATURAL GAS ETC NATURAL GAS ETCUSDNGLS5.005.540.00
471
-0.9-14.44.6add to basket
3878NATWEST GRP ORD 107.69PGBXNWG645.00645.204.00
269
5.410.925.8add to basket
3879NB DISTRES RED RED ORD NPVGBXNBDG39.000.00
190
0.05.49.2add to basket
3880NB DISTRESSED ORD NPVUSDNBDD0.470.00
164
-0.1-2.1-5.1add to basket
3881NB DISTRESSED X EXT SHS NPVUSDNBDX0.500.00
201
-0.1-2.1-10.7add to basket
3882NB PRIV. EQTY ORD USD0.01GBXNBPE1,610.001,612.0012.00
154
3.25.112.8add to basket
3883NB PRIV. EQTY.$ ORD USD0.01 (USD)USDNBPU20.0022.300.00
153
-0.1-1.07.4add to basket
3884NCC GRP ORD 1PGBXNCC143.00143.20-0.60
267
3.51.4-1.2add to basket
3885NED WATERS NDLWR 5.375 07/06/32GBPEN32138.500.00
0
0.00.00.0add to basket
3886NEO ENERGY ORD GBP0.0001GBXNEO0.600.70-0.08
677
-4.4-4.4-4.4add to basket
3887NET ZERO INFR ORD GBP0.01GBXNZI1.350.00
104
0.00.00.0add to basket
3888NET.R.I.4.375% 4.375% NTS 09/12/30GBP85YR99.00103.30-0.18
37
-0.10.20.8add to basket
3889NET.R.I.4.75% 4.75% NTS 29/11/35GBP85MJ98.50102.60-0.30
62
-0.10.51.6add to basket
3890NETCALL ORD 5PGBXNET109.00112.00-1.00
285
-2.7-4.3-9.5add to basket
3891NEW FRONTIER MI ORD NPV (DI)GBXNFM0.800.90-0.03
n/a
-5.6-24.430.8add to basket
3892NEW STAR INV ORD 1PGBXNSI120.00126.000.00
148
0.00.47.6add to basket
3893NEWCASTLE 10T% 10 3/4% PERM INT BEARING SHS #1000GBPNBSP156.00163.000.00
45
1.64.13.8add to basket
3894NEWCASTLE 125/8 12 5/8% PERM INT BEARING SHS #1000GBPNBSR186.00193.000.00
37
0.82.12.7add to basket
3895NEWCASTLE6.75% 6.75% PERM INTEREST BEARING SHSGBPMBSP103.00104.500.00
30
0.91.63.6add to basket
3896NEWCASTLE8%PIBS 8% PERM INTEREST BEARING SHSGBPMBSR116.25123.750.00
36
0.82.93.3add to basket
3897NEWMARK SEC ORD GBP0.05GBXNWT100.00113.000.00
332
0.0-4.515.1add to basket
3898NEWRIVER REIT ORD 1PGBXNRR67.4067.90-0.60
202
-0.63.5-2.9add to basket
3899NEXT 15 GROUP ORD 2.5PGBXNFG306.50307.500.50
552
0.75.717.0add to basket
3900NEXT ORD 10PGBXNXT13,605.0013,610.00-25.00
187
1.9-0.915.4add 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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