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
LF The Abbotsford 10.00 19.89 44.08 IA Unclassified
BlackRock Sterling Strategic Bond 6.06 13.66 - IA Sterling Strategic Bond
Morg Stnly US Growth 4.73 65.17 129.90 IA North America
Schroder UK Dynamic Absolute Return 4.22 19.11 32.94 IA Targeted Absolute Return
EdenTree UK Equity Growth 7.66 34.53 50.99 IA UK All Companies
Liontrust Sustainable Future Cautious Managed 12.20 31.17 51.65 IA Mixed Investment 40-85% Shares
Premier Diversified Growth 5.43 29.78 53.02 IA Mixed Investment 40-85% Shares
Janus Henderson Multi Asset Credit 2.82 9.83 20.63 IA Unclassified
IFSL James Hambro Barnham Broom 8.02 22.20 46.47 IA Mixed Investment 40-85% Shares
TUTMAN B&CE Contracted Out Pension Scheme 9.88 22.28 47.74 IA Unclassified
Rathbone Active Income and Growth 7.44 24.65 42.32 IA Unclassified
Slater Growth 15.01 46.51 66.57 IA UK All Companies
Pimco GIS Emerging Markets Corporate Bond 13.20 19.99 50.87 IA Global Emerging Markets Bond
Pimco Select Dynamic Bond -0.04 1.42 9.70 IA Specialist
Royal London Sustainable Leaders Trust 19.15 46.07 70.37 IA UK All Companies
Liontrust Latin America 14.27 46.30 52.65 IA Specialist
Quilter Investors UK Equity 7.47 24.02 31.31 IA UK All Companies
Sanlam Active UK 4.60 19.01 19.17 IA UK All Companies
Premier Liberation V 4.55 15.12 36.23 IA Mixed Investment 20-60% Shares
AXA Framlington Managed Income 5.16 16.04 30.20 IA Sterling Strategic Bond
VT Seneca Diversified Income 7.44 20.64 37.15 IA Mixed Investment 20-60% Shares
T. Rowe Price US Large Cap Growth Equity 11.08 - - IA North America
Kempen (Lux) Global Small-cap 9.61 40.07 101.10 IA Global
Carmignac Portfolio Grande Europe 17.91 39.49 - IA Europe Including UK
Architas MA Passive Growth 10.82 29.13 61.06 IA Volatility Managed
Lord Abbett Multi Sector Income 11.63 19.31 - IA Global Bonds
Magna New Frontiers 13.62 29.79 66.53 IA Specialist
HSBC Global Strategy Balanced Portfolio 10.91 26.80 50.04 IA Volatility Managed
TB Evenlode Income 17.97 43.73 78.44 IA UK All Companies
Smith & Williamson MM Global Investment 1.90 26.07 37.09 IA Flexible Investment
UBS Global Emerging Markets Equity 15.07 39.80 74.85 IA Global Emerging Markets
LF Prudential Risk Managed Passive 3 7.72 16.44 35.13 IA Volatility Managed
Legg Mason Martin Currie Global Long Term Unconstrained 18.51 53.55 - IA Global
Nomura India Equity 15.09 - - IA Specialist
Liontrust UK Ethical 14.41 48.96 70.55 IA UK All Companies
T. Rowe Price US Blue Chip Equity 12.56 66.75 135.17 IA North America
Jupiter UK Smaller Companies -0.61 55.16 107.98 IA UK Smaller Companies
Sarasin IE GlobalSar - Dynamic (USD) 11.53 23.26 61.85 IA Mixed Investment 40-85% Shares
Invesco European High Income (UK) 6.55 19.69 38.21 IA Mixed Investment 20-60% Shares
BlackRock Emerging Markets 18.87 48.38 60.39 IA Global Emerging Markets
Janus Henderson US Forty 19.57 60.81 109.25 IA North America
Lazard Managed Balanced 9.66 26.63 45.36 IA Mixed Investment 40-85% Shares
SVS Church House Tenax Absolute Return Strategies 1.89 4.48 13.93 IA Targeted Absolute Return
Nomura Global Dynamic Bond 12.08 19.66 - IA Sterling Strategic Bond
Blackrock Institutional Equity UK Smaller Companies 7.05 47.28 83.54 IA Unclassified
AXA Global Distribution 8.70 20.91 46.04 IA Mixed Investment 20-60% Shares
S&W The MF 7.10 30.59 58.47 IA Unclassified
Royal London Global Bond Opportunities 6.54 20.37 - IA Sterling Strategic Bond
BlueBay High Yield Corporate Bond 3.96 9.07 32.16 IA Unclassified
GS Europe High Yield Bond Portfolio 8.48 18.42 29.42 IA Sterling High Yield
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