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
Colchester Global Bond -7.84 2.17 3.79 IA Global Government Bond
American Century Concentrated Global Growth Equity 7.07 77.46 122.13 IA Global
AB SICAV I - China A Share Equity Portfolio -1.51 - - IA China/Greater China
Pimco GIS Diversified Income -2.03 14.15 20.12 IA Global Mixed Bond
Premier Miton UK Smaller Companies 11.46 80.78 98.64 IA UK Smaller Companies
JPM Global Macro Opportunities -0.29 17.77 34.84 IA Targeted Absolute Return
BNY Mellon Sustainable Global Equity 6.93 61.08 - IA Global
Liontrust Global Alpha -2.05 60.77 103.34 IA Flexible Investment
Comgest Growth America 15.45 67.37 105.18 IA North America
Morg Stnly Global Opportunity -12.94 62.69 123.97 IA Global
FTF Brandywine Global Income Optimiser -0.03 24.76 26.99 IA Global Mixed Bond
BNY Mellon Sustainable Real Return - - - IA Targeted Absolute Return
BlackRock European Absolute Alpha 4.69 17.33 27.96 IA Targeted Absolute Return
JPM Pacific Equity -8.11 49.84 80.39 IA Asia Pacific Including Japan
Abrdn Std SCV II European Smaller Companies 10.45 66.68 95.28 IA European Smaller Companies
BMO Multi-Manager Investment Trust -0.86 36.33 62.68 IA Flexible Investment
JPM Asia Growth -15.54 47.88 92.81 IA Asia Pacific Excluding Japan
Allianz Continental European 6.91 68.52 84.43 IA Europe Excluding UK
TM Private Portfolio 9.47 38.17 42.47 IA Unclassified
Quilter Cheviot Climate Assets 4.10 34.02 44.89 IA Mixed Investment 40-85% Shares
LF Robin 7.55 36.40 41.29 IA Unclassified
Rathbone Strategic Growth Portfolio 5.42 28.10 38.29 IA Volatility Managed
Rathbone Enhanced Growth Portfolio 5.99 39.16 55.05 IA Volatility Managed
BlackRock Emerging Markets -10.32 36.17 69.70 IA Global Emerging Markets
BlackRock European Dynamic 5.07 75.58 96.61 IA Europe Excluding UK
JPM Korea Equity Fund -6.50 45.33 76.05 IA Specialist
Thesis Oenoke 8.60 37.72 48.49 IA Unclassified
HSBC Global Strategy Adventurous Portfolio 11.71 43.21 - IA Volatility Managed
Montanaro Better World -5.52 62.06 - IA Global
Vanguard Global Credit Bond -1.90 20.55 - IA Global Corporate Bond
AXA Framlington UK Sustainable Equity 5.38 30.26 34.36 IA UK All Companies
TB Evenlode Income 12.49 27.88 50.19 IA UK All Companies
True Potential Balanced 1 3.28 22.34 34.43 IA Unclassified
Threadneedle European Select 6.96 53.80 68.98 IA Europe Excluding UK
Liontrust Sustainable Future Defensive Managed 1.33 28.97 43.76 IA Mixed Investment 20-60% Shares
Jupiter Strategic Absolute Return Bond - 15.24 16.78 IA Targeted Absolute Return
Carmignac Portfolio - Grande Europe 3.13 56.40 67.17 IA Europe Including UK
Nomura Asia Investment Grade Bond 0.93 13.85 13.72 IA Specialist Bond
ASI Sterling Inflation-Linked Bond 4.72 20.85 25.44 IA UK Gilts
IFSL Ravenscroft Global Blue Chip 9.46 49.00 65.65 IA Global
Candriam Bonds Global High Yield -4.06 13.95 19.76 IA Global High Yield Bond
Quilter Investors Corporate Bond -2.51 21.53 26.34 IA Sterling Corporate Bond
Nikko AM Global Equity 5.13 62.16 - IA Global
Federated Short-Term Sterling Prime 0.03 1.12 2.09 IA Unclassified
ASI UK Mid Cap Equity 5.70 44.46 61.73 IA UK All Companies
S&W Forest 4.75 55.31 68.13 IA Unclassified
Comgest Growth Europe Smaller Companies -1.59 51.71 103.73 IA Europe Including UK
LF Gresham House UK Multi Cap Income 21.51 47.86 - IA UK Equity Income
Hawthorn Portfolio 10.55 36.48 40.32 IA Unclassified
Carvetian The Aspen 11.72 35.72 35.22 IA Unclassified
Page: of 94