MoneyAM Fund Centre

Top 10 Performing Funds

Top 10 Crown Rated

 
 
 
Fund name Sector name Crown Rating Performance 1Y (%) Yield (%)
IFSL Tlny Btinv Inc&Gth Pfl A Acc Mixed Investment 20-60% Shares 2 4.60 1.71
IFSL Tlny Btinv Inc&Gth Pfl B Acc Mixed Investment 20-60% Shares 2 4.60 1.71
IFSL Tlny Btinv Inc&Gth Pfl C Acc Mixed Investment 20-60% Shares 2 4.60 1.71
IFSL Tlny Btinv Inc&Gth Pfl Chty A Mixed Investment 20-60% Shares 2 0.00 0.00
IFSL Tlny Btinv Inc&Gth Pfl Chty I Mixed Investment 20-60% Shares 2 2.00 0.00
IFSL Tlny Btinv Inc&Gth Pfl Cln A Mixed Investment 20-60% Shares 2 5.38 1.70
IFSL Tlny Btinv Inc&Gth Pfl Cln I Mixed Investment 20-60% Shares 2 5.46 1.72
IFSL Tlny Btinv Inc&Gth Pfl D Acc Mixed Investment 20-60% Shares 2 4.59 1.71
IFSL Tlny Btinv Inc&Gth Pfl EUR Mixed Investment 20-60% Shares 2 2.63 1.76
IFSL Tlny Btinv Inc&Gth Pfl H USD Mixed Investment 20-60% Shares 2 11.82 0.00
IFSL Tlny Btinv Inc&Gth Pfl I Acc Mixed Investment 20-60% Shares 2 5.14 1.56
IFSL Tlny Btinv Inc&Gth Pfl I Inc Mixed Investment 20-60% Shares 2 5.21 1.59
IFSL Tlny Btinv Inc&Gth Pfl Ret Acc Mixed Investment 20-60% Shares 2 4.64 1.57
IFSL Tlny Btinv Inc&Gth Pfl Ret Inc Mixed Investment 20-60% Shares 2 4.62 1.60
IFSL TlyBtnGIn&GrP A Acc USD Flexible Investment 1 0.13 1.87
IFSL TlyBtnGIn&GrP Acc USD Flexible Investment 1 0.13 1.85
IFSL TlyBtnGIn&GrP B Acc USD Flexible Investment 1 0.17 2.02
IFSL TlyBtnGIn&GrP Clean Hedged A £ Flexible Investment 1 1.41 1.85
IFSL TlyBtnGIn&GrP Hedged A CHF Flexible Investment 1 4.00 1.88
IFSL TlyBtnGIn&GrP Hedged A EUR Flexible Investment 1 4.00 1.96
IFSL TlyBtnGIn&GrP Ret H A £ Flexible Investment 1 0.81 1.86
IFSL TlyBtnGlAgGP A Acc USD Mixed Investment 40-85% Shares 1 25.49 0.00
IFSL TlyBtnGlAgGP Acc USD Mixed Investment 40-85% Shares 1 4.74 0.13
IFSL TlyBtnGlAgGP B Acc USD Mixed Investment 40-85% Shares 1 4.76 0.12
IFSL TlyBtnGlAgGP Clean Hedged A £ Mixed Investment 40-85% Shares 1 5.60 0.00
IFSL TlyBtnGlAgGP Hedged A CHF Mixed Investment 40-85% Shares 1 3.79 0.00
IFSL TlyBtnGlAgGP Hedged A EUR Mixed Investment 40-85% Shares 1 8.63 0.13
IFSL TlyBtnGlAgGP Retail Hedged A £ Mixed Investment 40-85% Shares 1 5.24 0.14
IFSL TlyBtnvAdPasAgGthPfl Cln A Mixed Investment 40-85% Shares 2 -3.87 2.26
IFSL TlyBtnvAdPasAgGthPfl Hgd A€ Mixed Investment 40-85% Shares 2 -2.89 1.41
IFSL TlyBtnvAdPasAgGthPfl RA A Mixed Investment 40-85% Shares 2 -4.60 1.41
IFSL TlyBtnvAdPasAgGthPfl RB A Mixed Investment 40-85% Shares 2 -4.68 1.41
IFSL TlyBtnvAdPasBlPfl Cln A Mixed Investment 20-60% Shares 3 -3.13 2.70
IFSL TlyBtnvAdPasBlPfl Hgd A$ Mixed Investment 20-60% Shares 3 -7.51 2.74
IFSL TlyBtnvAdPasBlPfl Hgd A€ Mixed Investment 20-60% Shares 3 -2.09 2.81
IFSL TlyBtnvAdPasBlPfl RA A Mixed Investment 20-60% Shares 3 -3.73 2.72
IFSL TlyBtnvAdPasBlPfl RB A Mixed Investment 20-60% Shares 3 -3.73 2.72
IFSL TlyBtnvAdPasCauPfl Cln A Mixed Investment 0-35% Shares 3 0.17 2.18
IFSL TlyBtnvAdPasCauPfl Cln I Mixed Investment 0-35% Shares 3 0.54 2.24
IFSL TlyBtnvAdPasCauPfl Hgd A$ Mixed Investment 0-35% Shares 3 -4.70 2.18
IFSL TlyBtnvAdPasCauPfl Hgd A€ Mixed Investment 0-35% Shares 3 0.12 2.27
IFSL TlyBtnvAdPasCauPfl RA A Mixed Investment 0-35% Shares 3 -0.61 2.21
IFSL TlyBtnvAdPasCauPfl RB A Mixed Investment 0-35% Shares 3 0.09 2.25
IFSL TlyBtnvAdPasGthPfl Cln A Flexible Investment 3 -2.50 2.09
IFSL TlyBtnvAdPasGthPfl Hgd A$ Flexible Investment 3 -7.77 1.24
IFSL TlyBtnvAdPasGthPfl Hgd A€ Flexible Investment 3 -2.41 1.24
IFSL TlyBtnvAdPasGthPfl R A Flexible Investment 3 -3.26 1.26
IFSL TlyBtnvAdPasGthPfl RA A Flexible Investment 3 -3.21 1.23
IFSL TlyBtnvAdPasGthPfl RB A Flexible Investment 3 -3.06 1.23
IFSL TlyBtnvAdPasIncPfl Cln A Flexible Investment 3 -2.14 2.49
Fund name 1 day return (%) 1 week return (%) 1 month return (%) 3 months return (%) 6 months return (%) Price date
IFSL Tlny Btinv Inc&Gth Pfl A Acc 0.00 -0.43 1.05 1.76 5.84 19/09/2019
IFSL Tlny Btinv Inc&Gth Pfl B Acc 0.00 -0.43 1.05 1.76 5.84 19/09/2019
IFSL Tlny Btinv Inc&Gth Pfl C Acc 0.09 -0.34 1.05 1.84 5.94 19/09/2019
IFSL Tlny Btinv Inc&Gth Pfl Chty A 0.00 0.00 0.00 0.00 0.00 19/09/2019
IFSL Tlny Btinv Inc&Gth Pfl Chty I 0.00 -0.39 1.09 2.00 2.00 19/09/2019
IFSL Tlny Btinv Inc&Gth Pfl Cln A 0.06 -0.33 1.12 2.04 6.31 19/09/2019
IFSL Tlny Btinv Inc&Gth Pfl Cln I 0.00 -0.34 1.17 2.02 6.34 19/09/2019
IFSL Tlny Btinv Inc&Gth Pfl D Acc 0.09 -0.34 1.04 1.84 5.83 19/09/2019
IFSL Tlny Btinv Inc&Gth Pfl EUR -0.33 -1.69 -2.61 0.81 8.51 19/09/2019
IFSL Tlny Btinv Inc&Gth Pfl H USD -0.27 -1.85 -1.89 3.14 13.12 19/09/2019
IFSL Tlny Btinv Inc&Gth Pfl I Acc 0.06 -0.34 1.08 1.95 6.15 19/09/2019
IFSL Tlny Btinv Inc&Gth Pfl I Inc 0.07 -0.35 1.16 2.03 6.19 19/09/2019
IFSL Tlny Btinv Inc&Gth Pfl Ret Acc 0.06 -0.35 1.07 1.87 5.88 19/09/2019
IFSL Tlny Btinv Inc&Gth Pfl Ret Inc 0.00 -0.37 1.07 1.82 5.85 19/09/2019
IFSL TlyBtnGIn&GrP A Acc USD 0.38 0.25 1.21 1.21 10.01 24/09/2020
IFSL TlyBtnGIn&GrP Acc USD 0.38 0.25 1.29 1.30 10.04 24/09/2020
IFSL TlyBtnGIn&GrP B Acc USD 0.38 0.23 1.27 1.26 10.02 24/09/2020
IFSL TlyBtnGIn&GrP Clean Hedged A £ -0.09 -1.71 -1.97 3.80 18.59 24/09/2020
IFSL TlyBtnGIn&GrP Hedged A CHF -0.16 -1.78 -0.89 3.23 14.91 24/09/2020
IFSL TlyBtnGIn&GrP Hedged A EUR -0.00 -1.69 -0.47 4.78 17.25 24/09/2020
IFSL TlyBtnGIn&GrP Ret H A £ 0.00 -1.68 -1.94 3.63 18.20 24/09/2020
IFSL TlyBtnGlAgGP A Acc USD 0.38 1.93 4.14 6.48 19.22 24/09/2020
IFSL TlyBtnGlAgGP Acc USD 0.53 0.47 1.61 3.68 18.68 24/09/2020
IFSL TlyBtnGlAgGP B Acc USD 0.61 0.51 1.65 3.66 18.73 24/09/2020
IFSL TlyBtnGlAgGP Clean Hedged A £ 0.19 -1.49 -1.31 6.48 28.27 24/09/2020
IFSL TlyBtnGlAgGP Hedged A CHF -0.06 -0.06 1.13 -0.21 -2.47 24/09/2020
IFSL TlyBtnGlAgGP Hedged A EUR 0.18 -1.47 -0.14 7.25 26.35 24/09/2020
IFSL TlyBtnGlAgGP Retail Hedged A £ 0.08 -1.55 -1.63 5.98 27.42 24/09/2020
IFSL TlyBtnvAdPasAgGthPfl Cln A 0.00 - 1.02 0.94 8.30 18/09/2020
IFSL TlyBtnvAdPasAgGthPfl Hgd A€ 0.27 - 1.70 2.93 12.48 18/09/2020
IFSL TlyBtnvAdPasAgGthPfl RA A 0.00 - 1.06 0.73 7.89 18/09/2020
IFSL TlyBtnvAdPasAgGthPfl RB A 0.00 - 0.97 0.73 7.81 18/09/2020
IFSL TlyBtnvAdPasBlPfl Cln A -0.08 - 0.86 0.77 5.75 18/09/2020
IFSL TlyBtnvAdPasBlPfl Hgd A$ 0.08 - 1.40 -1.60 2.08 18/09/2020
IFSL TlyBtnvAdPasBlPfl Hgd A€ 0.17 - 1.48 2.98 10.02 18/09/2020
IFSL TlyBtnvAdPasBlPfl RA A -0.09 - 0.80 0.80 5.58 18/09/2020
IFSL TlyBtnvAdPasBlPfl RB A -0.09 - 0.89 0.80 5.58 18/09/2020
IFSL TlyBtnvAdPasCauPfl Cln A 0.17 - 0.59 0.68 4.67 18/09/2020
IFSL TlyBtnvAdPasCauPfl Cln I 0.61 - 0.98 0.98 5.12 18/09/2020
IFSL TlyBtnvAdPasCauPfl Hgd A$ 0.25 - 1.15 -1.84 0.84 18/09/2020
IFSL TlyBtnvAdPasCauPfl Hgd A€ 0.45 - 1.21 2.51 8.28 18/09/2020
IFSL TlyBtnvAdPasCauPfl RA A 0.18 - 0.62 0.53 4.28 18/09/2020
IFSL TlyBtnvAdPasCauPfl RB A 0.17 - 0.61 0.70 4.61 18/09/2020
IFSL TlyBtnvAdPasGthPfl Cln A 0.00 - 1.05 0.97 7.40 18/09/2020
IFSL TlyBtnvAdPasGthPfl Hgd A$ 0.16 - 1.54 -1.78 3.19 18/09/2020
IFSL TlyBtnvAdPasGthPfl Hgd A€ 0.36 - 1.69 2.90 11.19 18/09/2020
IFSL TlyBtnvAdPasGthPfl R A 0.00 - 1.00 0.83 7.04 18/09/2020
IFSL TlyBtnvAdPasGthPfl RA A 0.08 - 1.09 0.92 7.10 18/09/2020
IFSL TlyBtnvAdPasGthPfl RB A 0.08 - 1.09 1.09 7.50 18/09/2020
IFSL TlyBtnvAdPasIncPfl Cln A 0.00 - 0.53 0.70 4.57 18/09/2020
Fund name Crown rating 0-12m (%) 12-24m (%) 24-36m (%) 36-48m (%) 48-60m (%)
IFSL Tlny Btinv Inc&Gth Pfl A Acc 2 4.60 2.59 5.47 6.96 -
IFSL Tlny Btinv Inc&Gth Pfl B Acc 2 4.60 2.59 5.47 6.93 -
IFSL Tlny Btinv Inc&Gth Pfl C Acc 2 4.60 2.69 5.47 6.91 -
IFSL Tlny Btinv Inc&Gth Pfl Chty A 2 0.00 - - - -
IFSL Tlny Btinv Inc&Gth Pfl Chty I 2 2.00 - - - -
IFSL Tlny Btinv Inc&Gth Pfl Cln A 2 5.38 3.39 6.23 7.75 3.73
IFSL Tlny Btinv Inc&Gth Pfl Cln I 2 5.46 3.32 6.27 7.75 3.63
IFSL Tlny Btinv Inc&Gth Pfl D Acc 2 4.59 2.68 5.57 6.90 -
IFSL Tlny Btinv Inc&Gth Pfl EUR 2 2.63 1.56 8.32 23.95 -4.45
IFSL Tlny Btinv Inc&Gth Pfl H USD 2 11.82 6.70 2.85 27.40 7.32
IFSL Tlny Btinv Inc&Gth Pfl I Acc 2 5.14 3.11 6.01 7.51 3.53
IFSL Tlny Btinv Inc&Gth Pfl I Inc 2 5.21 3.12 6.00 7.45 3.40
IFSL Tlny Btinv Inc&Gth Pfl Ret Acc 2 4.64 2.60 5.49 7.02 3.02
IFSL Tlny Btinv Inc&Gth Pfl Ret Inc 2 4.62 2.56 5.48 7.88 2.88
IFSL TlyBtnGIn&GrP A Acc USD 1 0.13 9.84 5.66 2.90 -
IFSL TlyBtnGIn&GrP Acc USD 1 0.13 9.94 5.48 3.00 -
IFSL TlyBtnGIn&GrP B Acc USD 1 0.17 9.89 5.51 3.20 -
IFSL TlyBtnGIn&GrP Clean Hedged A £ 1 1.41 2.26 2.12 8.30 -
IFSL TlyBtnGIn&GrP Hedged A CHF 1 4.00 3.53 3.42 -1.60 -
IFSL TlyBtnGIn&GrP Hedged A EUR 1 4.00 -0.94 2.70 6.38 -
IFSL TlyBtnGIn&GrP Ret H A £ 1 0.81 1.28 1.68 5.71 -
IFSL TlyBtnGlAgGP A Acc USD 1 25.49 6.33 2.46 -3.91 -
IFSL TlyBtnGlAgGP Acc USD 1 4.74 8.39 8.19 4.84 -
IFSL TlyBtnGlAgGP B Acc USD 1 4.76 8.44 8.14 5.70 -
IFSL TlyBtnGlAgGP Clean Hedged A £ 1 5.60 0.00 0.00 0.00 -
IFSL TlyBtnGlAgGP Hedged A CHF 1 3.79 3.63 3.01 -3.72 -
IFSL TlyBtnGlAgGP Hedged A EUR 1 8.63 -2.10 5.01 8.43 -
IFSL TlyBtnGlAgGP Retail Hedged A £ 1 5.24 0.17 4.28 7.65 -
IFSL TlyBtnvAdPasAgGthPfl Cln A 2 -3.87 7.18 0.24 7.75 -
IFSL TlyBtnvAdPasAgGthPfl Hgd A€ 2 -2.89 7.84 -3.40 5.02 -
IFSL TlyBtnvAdPasAgGthPfl RA A 2 -4.60 6.18 -0.65 6.91 -
IFSL TlyBtnvAdPasAgGthPfl RB A 2 -4.68 6.19 -0.57 6.83 -
IFSL TlyBtnvAdPasBlPfl Cln A 3 -3.13 6.02 -0.95 4.23 -
IFSL TlyBtnvAdPasBlPfl Hgd A$ 3 -7.51 14.87 -0.73 -1.00 -
IFSL TlyBtnvAdPasBlPfl Hgd A€ 3 -2.09 6.68 -4.88 2.11 -
IFSL TlyBtnvAdPasBlPfl RA A 3 -3.73 5.17 -1.92 3.44 -
IFSL TlyBtnvAdPasBlPfl RB A 3 -3.73 4.99 -1.84 3.53 -
IFSL TlyBtnvAdPasCauPfl Cln A 3 0.17 6.94 -0.89 2.66 -
IFSL TlyBtnvAdPasCauPfl Cln I 3 0.54 6.63 -1.00 2.72 -
IFSL TlyBtnvAdPasCauPfl Hgd A$ 3 -4.70 15.88 -0.68 -2.30 -
IFSL TlyBtnvAdPasCauPfl Hgd A€ 3 0.12 7.24 -4.82 0.39 -
IFSL TlyBtnvAdPasCauPfl RA A 3 -0.61 5.98 -1.90 1.93 -
IFSL TlyBtnvAdPasCauPfl RB A 3 0.09 6.45 -1.90 1.93 -
IFSL TlyBtnvAdPasGthPfl Cln A 3 -2.50 7.11 -0.08 6.50 -
IFSL TlyBtnvAdPasGthPfl Hgd A$ 3 -7.77 15.65 0.40 1.34 -
IFSL TlyBtnvAdPasGthPfl Hgd A€ 3 -2.41 7.53 -4.15 4.16 -
IFSL TlyBtnvAdPasGthPfl R A 3 -3.26 6.26 -1.00 6.32 -
IFSL TlyBtnvAdPasGthPfl RA A 3 -3.21 6.40 -0.93 5.63 -
IFSL TlyBtnvAdPasGthPfl RB A 3 -3.06 6.15 -0.93 5.54 -
IFSL TlyBtnvAdPasIncPfl Cln A 3 -2.14 5.60 -1.07 2.85 -
Fund name Currency Minimum initial investment Minimum top up Standard initial charge (%) Annual management charge (%) Total expense ratio (%) Ongoing charge (%)
IFSL Tlny Btinv Inc&Gth Pfl A Acc GBX 1 1 0.00 1.50 - 2.240
IFSL Tlny Btinv Inc&Gth Pfl B Acc GBX 1 1 1.00 1.50 - 2.240
IFSL Tlny Btinv Inc&Gth Pfl C Acc GBX 1 1 2.00 1.50 - 2.240
IFSL Tlny Btinv Inc&Gth Pfl Chty A GBX 1 1 0.00 0.50 - 1.200
IFSL Tlny Btinv Inc&Gth Pfl Chty I GBX 1 1 0.00 0.50 - 1.200
IFSL Tlny Btinv Inc&Gth Pfl Cln A GBX 1,000,000 1,000 5.00 0.75 - 1.490
IFSL Tlny Btinv Inc&Gth Pfl Cln I GBX 1,000,000 1,000 5.00 0.75 - 1.490
IFSL Tlny Btinv Inc&Gth Pfl D Acc GBX 1 1 3.00 1.50 - 2.240
IFSL Tlny Btinv Inc&Gth Pfl EUR EUX 1,000,000 1,000 5.00 1.50 - 2.240
IFSL Tlny Btinv Inc&Gth Pfl H USD USX 1,000,000 1,000 5.00 1.50 - 2.240
IFSL Tlny Btinv Inc&Gth Pfl I Acc GBX 50,000 50,000 5.00 1.00 - 1.740
IFSL Tlny Btinv Inc&Gth Pfl I Inc GBX 50,000 50,000 5.00 1.00 - 1.740
IFSL Tlny Btinv Inc&Gth Pfl Ret Acc GBX 1,000 1,000 5.00 1.50 - 2.240
IFSL Tlny Btinv Inc&Gth Pfl Ret Inc GBX 1,000 1,000 5.00 1.50 - 2.240
IFSL TlyBtnGIn&GrP A Acc USD USX 1 1 0.00 1.50 - 2.111
IFSL TlyBtnGIn&GrP Acc USD USX 1,000 1,000 0.00 1.50 - 2.111
IFSL TlyBtnGIn&GrP B Acc USD USX 1 1 2.00 1.50 - 2.111
IFSL TlyBtnGIn&GrP Clean Hedged A £ GBX 1,000 1,000 0.00 0.75 - 1.361
IFSL TlyBtnGIn&GrP Hedged A CHF CHX 1,000 1,000 0.00 1.50 - 2.111
IFSL TlyBtnGIn&GrP Hedged A EUR EUX 1,000 1,000 0.00 1.50 - 2.111
IFSL TlyBtnGIn&GrP Ret H A £ GBX 1,000 1,000 0.00 1.50 - 2.111
IFSL TlyBtnGlAgGP A Acc USD USX 1 1 0.00 1.50 - 2.150
IFSL TlyBtnGlAgGP Acc USD USX 1,000 1,000 0.00 1.50 - 2.150
IFSL TlyBtnGlAgGP B Acc USD USX 1 1 2.00 1.50 - 2.150
IFSL TlyBtnGlAgGP Clean Hedged A £ GBX 1,000 1,000 0.00 0.75 - 1.400
IFSL TlyBtnGlAgGP Hedged A CHF CHX 1,000 1,000 0.00 1.50 - 2.150
IFSL TlyBtnGlAgGP Hedged A EUR EUX 1,000 1,000 0.00 1.50 - 2.150
IFSL TlyBtnGlAgGP Retail Hedged A £ GBX 1,000 1,000 0.00 1.50 - 2.150
IFSL TlyBtnvAdPasAgGthPfl Cln A GBX 1,000 1,000 0.00 0.65 - 0.828
IFSL TlyBtnvAdPasAgGthPfl Hgd A€ EUX 1,000 1,000 0.00 1.50 - 1.678
IFSL TlyBtnvAdPasAgGthPfl RA A GBX 1,000 1,000 0.00 1.50 - 1.678
IFSL TlyBtnvAdPasAgGthPfl RB A GBX 1,000 1,000 2.00 1.50 - 1.678
IFSL TlyBtnvAdPasBlPfl Cln A GBX 1,000 1,000 0.00 0.65 - 0.834
IFSL TlyBtnvAdPasBlPfl Hgd A$ USX 1,000 1,000 0.00 1.50 - 1.684
IFSL TlyBtnvAdPasBlPfl Hgd A€ EUX 1,000 1,000 0.00 1.50 - 1.684
IFSL TlyBtnvAdPasBlPfl RA A GBX 1,000 1,000 0.00 1.50 - 1.684
IFSL TlyBtnvAdPasBlPfl RB A GBX 1,000 1,000 2.00 1.50 - 1.684
IFSL TlyBtnvAdPasCauPfl Cln A GBX 1,000 1,000 0.00 0.65 - 0.790
IFSL TlyBtnvAdPasCauPfl Cln I GBX 1,000 1,000 0.00 0.65 - 0.790
IFSL TlyBtnvAdPasCauPfl Hgd A$ USX 1,000 1,000 0.00 1.50 - 1.640
IFSL TlyBtnvAdPasCauPfl Hgd A€ EUX 1,000 1,000 0.00 1.50 - 1.640
IFSL TlyBtnvAdPasCauPfl RA A GBX 1,000 1,000 0.00 1.50 - 1.640
IFSL TlyBtnvAdPasCauPfl RB A GBX 1,000 1,000 2.00 1.50 - 1.640
IFSL TlyBtnvAdPasGthPfl Cln A GBX 1,000 1,000 0.00 0.65 - 0.819
IFSL TlyBtnvAdPasGthPfl Hgd A$ USX 1,000 1,000 0.00 1.50 - 1.669
IFSL TlyBtnvAdPasGthPfl Hgd A€ EUX 1,000 1,000 0.00 1.50 - 1.669
IFSL TlyBtnvAdPasGthPfl R A GBX 1,000 1,000 0.00 1.50 - 1.669
IFSL TlyBtnvAdPasGthPfl RA A GBX 1,000 1,000 0.00 1.50 - 1.669
IFSL TlyBtnvAdPasGthPfl RB A GBX 1,000 1,000 2.00 1.50 - 1.669
IFSL TlyBtnvAdPasIncPfl Cln A GBX 1,000 1,000 0.00 0.65 - 0.834
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Please remember that past performance is not a guide of future returns. The value of investments and the income from them can go down as well as up as a result of currency exchange and market fluctuations and investors may not get back the amount originally invested.

Fund data supplied by
Financial Express