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Fund Quickrank

This tool lets you screen and rank Morningstar.co.uk's database of funds
  • Choose a Morningstar Category from the first pull-down list to see funds that are similar in investment strategy.
  • Choose a fund company from the Company Name drop-down list to see funds available from an investment manager.
  • Enter a phrase in the text field to see all funds with that word in their name.
  • Select a universe from the All Funds drop-down to hone in on a type of fund.
  • Click Go to see the funds that meet your criteria.
  • Click a column heading to rank the display.
  • Click Performance, Portfolio, or Fees & Details to see additional data.
  • Roll your mouse over some data columns for further detail.
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Snapshot
Short Term
Performance
Portfolio
Fees & Details
 Fund NameMorningstar
Risk
(Rel to Category)
3 Yr
Std Dev
YTD
Return
%
1 Yr
Return
%
3 Yr
Anlsd
%
5 Yr
Anlsd
%
10 Yr
Anlsd
%
Legg Mason Opportunity LM Acc $-20.1453.3267.9316.99--
HSBC GIF Thai Equity ZD-32.0051.3151.228.41--
The AIM Multi Asset I USD Acc-20.5048.7944.6710.978.63-
BlackRock ISF EM Fdmtl Wtd Idx Inst €Inc--34.0419.19---
Morant Wright Fuji Yield CHF Acc Hg--33.66----
Calamos US Growth X USD Acc--33.4724.62---
Investec Pan Africa A Acc Gross USD-34.0231.564.15-11.39-3.07-1.94
Pan Africa G USD Acc-34.0631.554.02-11.71--
Investec Pan Africa F Acc Gross USD-34.0331.544.04-11.70-3.44-
Investec Pan Africa S Acc Gross USD-34.0131.544.56-10.27-1.390.95
Pharus SICAV Europe Absolute G EUR Acc--31.42----
Neuberger Berman US Rel Est Sec AUD AInc--31.4118.05---
HSBC GIF Brazil Equity XC-29.8930.90-20.13-17.06-12.00-
Nomura Fds India Equity ZUS AccAbove Average19.5628.4650.0532.8319.479.96
Nomura Fds India Equity S JPYAverage19.6927.9449.3232.0318.56-
Nomura Fds India Equity AEUAbove Average19.5427.5047.9830.8717.66-
Franklin India N Acc PLN H1-20.7327.4528.3615.7212.35-
HSBC GIF Turkey Equity ID--27.38-9.87---
GlobalAccess Japan B £ Acc--27.0748.20---
Old Mutual UK Smlr Coms Foc U1 GBP Inc--26.8243.01---
Total Results:
28031
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Fund prices are updated every weekday after the close of trading. Fund returns are based upon Nav to Nav or Bid to Bid income reinvested basis. Performance figures are presented in Euro (EUR).