Research Centre

Top Rated Funds

The funds with the highest 'FE Crown Rating' due to consistenly high performance 3 years.

Choose sector
Fund Name Rating 1yr chg % 3yr chg % 5yr chg % Sector
The Circus 12.56 27.09 51.99 IA Unclassified
BlueBay Investment Grade Asset-Backed Credit 4.69 6.99 - IA Specialist
AQR Sustainable Delphi Global Equities UCITS 13.78 54.83 72.84 IA Global
TwentyFour Focus Bond 10.12 3.40 13.69 IA Unclassified
SJP Global 15.96 35.85 57.24 IA Unclassified
CT Universal MAP Adventurous 12.87 38.03 - IA Volatility Managed
GS Strategic Factor Allocation Portfolio 10.06 33.41 54.69 IA Specialist
Pictet Quest Europe Sustainable Equities 10.53 56.63 - IA Europe Including UK
Invesco Global Financial Capital (UK) 10.62 33.30 46.99 IA Specialist
BGF Sustainable Energy -4.41 12.83 91.28 IA Specialist
Carmignac Portfolio Securite - - - -
JGF-Jupiter Global Value 0.43 36.98 49.35 IA Global
JPM Korea Equity Fund 4.38 -9.71 27.53 IA Specialist
True Potential Schroders Cautious Income 0.60 14.01 - IA Unclassified
BNY Mellon Small Cap Euroland 2.89 19.48 53.53 IA European Smaller Companies
AB SICAV I - China A Share Equity Portfolio -12.19 -19.03 - IA China/Greater China
M&G Short Dated Corporate Bond 6.44 5.93 12.64 IA Sterling Corporate Bond
NFU Mutual UK Government Bond 1.60 -17.15 -11.11 IA Unclassified
Thornbridge Thornbridge Global Opportunities 12.84 69.91 90.24 IA Global
Fidelity European 10.22 42.05 74.60 IA Europe Excluding UK
Thesis Oenoke 9.69 18.78 45.23 IA Unclassified
Quilter Investors Asia Pacific (ex Japan) Large-Cap Equity -2.33 -0.88 34.16 IA Asia Pacific Excluding Japan
Ninety One Global Gold -10.50 -8.83 24.03 IA Specialist
BNY Mellon Inflation Linked Corporate Bond 9.12 12.71 22.99 IA Sterling Strategic Bond
Lazard Emerging Markets 10.70 18.06 25.21 IA Global Emerging Markets
M&G North American Dividend 20.33 54.04 95.95 IA North America
M&G Japan 20.71 42.64 64.52 IA Japan
Titan Hybrid Capital Bond 5.56 9.68 29.48 IA Sterling Strategic Bond
JPM Emerging Markets Income 4.66 6.90 35.73 IA Global Emerging Markets
Rathbone Total Return Portfolio 5.24 9.46 21.78 IA Volatility Managed
Pictet Quest Europe Sustainable Equities 11.06 33.00 55.77 IA Europe Including UK
PIMCO Low Duration Income Fund 6.65 5.05 10.53 IA Global Mixed Bond
WS Lightman European -6.49 23.76 - IA Europe Excluding UK
Scottish Widows Environmental Investor -7.07 0.22 21.01 IA Unclassified
Scottish Widows Ethical -2.22 6.80 15.70 IA Unclassified
VT Chelsea Managed Cautious Growth 6.07 8.96 23.37 IA Mixed Investment 20-60% Shares
VT Freedom Cautious 5.56 - - IA Mixed Investment 20-60% Shares
Premier Miton UK Money Market 5.29 7.23 8.25 IA Standard Money Market
GAM Star Cat Bond 16.38 22.34 29.70 IA Specialist Bond
Nedgroup Global Flexible 9.64 26.51 53.30 IA Mixed Investment 40-85% Shares
The Aspen 6.75 18.24 41.96 IA Unclassified
EV Int (Ire) Parametric Emerging Markets 0.24 8.23 13.73 -
Candriam Bonds Credit Opportunities 2.17 1.42 6.60 IA Global Mixed Bond
Jupiter India 62.15 107.50 131.24 IA India/Indian Subcontinent
True Potential Schroders Cautious 3.04 14.90 - IA Unclassified
Cohen & Steers European Real Estate Securities -2.58 -6.67 10.14 IA Property Other
The Keel Balanced 2.94 17.68 - IA Unclassified
Royal London Global Equity Income 14.94 53.14 - IA Global Equity Income
Invesco Asian (UK) -1.84 -0.50 35.61 IA Asia Pacific Excluding Japan
Man Balanced Managed 8.14 22.82 32.46 IA Mixed Investment 40-85% Shares
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