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 12.35 48.29 55.99 IA Unclassified
SVS Baker Steel Gold & Precious Metals - - - -
GAM Star Credit Opportunities USD 3.08 20.38 19.19 IA Specialist Bond
Sandalwood Growth 20.46 56.35 57.60 IA Unclassified
BlackRock Dynamic Allocation 14.04 40.35 31.94 IA Specialist
Matthews India 4.15 25.72 52.39 IA India/Indian Subcontinent
abrdn UK Equity Enhanced Index 22.83 63.97 74.42 IA UK All Companies
Ninety One Global Gold 71.31 224.72 239.19 IA Specialist
TwentyFour Focus Bond 5.24 30.85 21.68 IA Unclassified
BlackRock ACS2 Futurewise Early Days 24.21 66.06 - IA Unclassified
Titan Hybrid Capital Bond 4.91 28.05 22.48 IA Sterling Strategic Bond
JPM Emerging Europe Equity II 35.76 110.30 - IA Unclassified
VT Blackwood Keystone 3.44 13.29 11.53 IA Unclassified
IFSL YOU Multi-Asset Blend Balanced 16.10 37.27 33.05 IA Mixed Investment 20-60% Shares
MFS Meridian Blended Research European Equity 28.67 73.90 86.91 IA Europe Including UK
CT Japan 27.69 73.50 71.67 IA Japan
CT Monthly Extra Income 11.72 46.39 44.90 IA Unclassified
Templeton Emerging Markets Bond 17.13 48.73 27.57 IA Global EM Bonds - Blended
Invesco Global Financial Capital (UK) 6.86 37.58 51.02 IA Specialist
Premier Miton UK Money Market 3.94 14.78 19.46 IA Standard Money Market
BNY Mellon Inflation Linked Corporate Bond 4.99 22.88 23.06 IA Sterling Strategic Bond
Premier Miton UK Smaller Companies 33.55 34.96 -15.03 IA UK Smaller Companies
Invesco Global Ex UK Core Equity Index (UK) 31.61 94.71 128.50 IA Global
MI Thornbridge Global Opportunities 18.25 61.74 119.61 IA Global
L&G Multi-Index 7 25.81 62.15 61.51 IA Volatility Managed
GAM Swiss Re Cat Bond 11.37 40.57 53.04 IA Specialist Bond
abrdn SICAV II Global Income Bond 4.93 26.61 13.37 IA Global Mixed Bond
True Potential Close Brothers Cautious Income 12.06 42.33 35.05 IA Unclassified
IFSL Church House Tenax Multi-Asset Strategy 6.97 28.01 18.87 IA Mixed Investment 0-35% Shares
Vanguard LifeStrategy 80% Equity 18.70 51.18 50.96 IA Mixed Investment 40-85% Shares
True Potential Schroders Cautious Income 14.91 41.84 48.09 IA Unclassified
Nedgroup Investments Global Flexible 16.69 41.65 51.82 IA Mixed Investment 40-85% Shares
Lazard Emerging Markets 44.78 97.53 101.01 IA Global Emerging Markets
PIMCO Pimco Funds Global Investors Series plc - Low Duration Income 5.08 23.05 22.37 IA Sterling Strategic Bond
WS Lightman European 22.54 50.42 69.24 IA Europe Excluding UK
AB China A Share Equity Portfolio 30.71 47.88 24.87 IA China/Greater China
Janus Henderson UK Equity Income & Growth 26.42 69.87 68.85 IA UK Equity Income
FP Russell Investments Multi Asset Growth IV 17.13 45.53 43.09 IA Mixed Investment 40-85% Shares
Janus Henderson Multi Asset Credit 4.94 23.84 25.61 IA Specialist Bond
Algebris Global Credit Opportunities 3.91 21.93 25.96 IA Specialist Bond
True Potential Growth-Aligned Growth 22.02 52.31 49.72 IA Unclassified
True Potential Schroders Cautious 16.43 41.20 52.60 IA Unclassified
MI Verbatim Multi-Index Portfolio 3 9.33 26.79 17.29 IA Mixed Investment 20-60% Shares
GAM Star Global Moderate 15.29 35.87 25.30 IA Volatility Managed
GS All China Equity Portfolio 11.67 26.61 -20.90 IA China/Greater China
M&G Global Strategic Value 31.95 78.78 103.81 IA Global
The Aspen 11.07 33.23 37.08 IA Unclassified
Schroder Blended Portfolio 5 - - - -
IFSL Meon Adaptive Growth 16.55 79.36 - IA Global
PUTM ACS Emerging Market Equity 50.77 93.78 - IA Unclassified
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