MoneyAM Fund Centre

Top 10 Performing Funds

Top 10 Crown Rated

 
 
 
Fund name Sector name Crown Rating Performance 1Y (%) Yield (%)
ASI Euro Corporate Bond I Acc Global Bonds 3 0.37 0.90
ASI Euro Corporate Bond I Inc Global Bonds 3 0.36 0.90
ASI Euro Corporate Bond M Acc Global Bonds 3 0.70 0.90
ASI Euro Corporate Bond M Inc Global Bonds 3 0.70 0.90
ASI Europe ex UK Equity A Acc Europe Excluding UK 5 6.38 0.00
ASI Europe ex UK Equity I Acc Europe Excluding UK 5 6.86 0.40
ASI Europe ex UK Equity M Acc Europe Excluding UK 5 6.80 0.50
ASI Europe ex UK Equity Z Acc Europe Excluding UK 5 7.66 0.90
ASI European Eq Tracker B Acc Europe Excluding UK 5.39 1.85
ASI European Eq Tracker N Acc Europe Excluding UK 5.32 1.90
ASI European Eq Tracker X Acc Europe Excluding UK 5.35 1.92
ASI European Eq Tracker X Inc Europe Excluding UK 0.00 2.26
ASI European Hi Yield Bd A Acc Sterling High Yield 2 4.52 3.90
ASI European Hi Yield Bd A Inc Sterling High Yield 2 4.50 3.90
ASI European Hi Yield Bd I Acc Sterling High Yield 2 4.98 4.30
ASI European Hi Yield Bd I Inc Sterling High Yield 2 4.96 4.30
ASI European Hi Yield Bd M Acc Sterling High Yield 2 4.93 4.30
ASI European Hi Yield Bd M Inc Sterling High Yield 2 4.99 4.30
ASI European Hi Yield Bd Z Acc Sterling High Yield 2 5.72 5.00
ASI European Sm Cos A Acc European Smaller Companies 5 13.25 0.00
ASI European Sm Cos I Acc European Smaller Companies 5 13.76 0.30
ASI European Sm Cos K Acc European Smaller Companies 5 13.84 0.30
ASI European Sm Cos M Acc European Smaller Companies 5 13.70 0.20
ASI Eurpn Eq Enhcd Ix A Acc Europe Excluding UK 2 4.13 1.73
ASI Eurpn Eq Enhcd Ix B Europe Excluding UK 2 4.19 1.77
ASI Eurpn Eq Enhcd Ix N Acc Europe Excluding UK 2 4.31 1.88
ASI Eurpn Eq Enhcd Ix X Acc Europe Excluding UK 2 4.39 1.95
ASI EurxUKIncEq I Acc Europe Excluding UK 2 5.50 2.43
ASI EurxUKIncEq I Inc Europe Excluding UK 2 5.52 3.26
ASI EurxUKIncEq Inst S Acc Europe Excluding UK 2 5.73 2.58
ASI EurxUKIncEq Inst S Inc Europe Excluding UK 2 5.67 3.26
ASI EurxUKIncEq R Acc Europe Excluding UK 2 5.01 2.01
ASI EurxUKIncEq R Inc Europe Excluding UK 2 5.04 3.27
ASI EurxUKIncEq R Pf 1 A Europe Excluding UK 2 5.50 2.39
ASI EurxUKIncEq R Pf 1 I Europe Excluding UK 2 5.46 3.26
ASI EurxUKIncEq SL Acc Europe Excluding UK 2 6.35 3.10
ASI Financial Equity A Inc Specialist 4 -1.65 0.30
ASI Financial Equity I Inc Specialist 4 -1.20 0.80
ASI Financial Equity M Inc Specialist 4 -1.25 0.70
ASI Gbl Bal Grw I Acc Mixed Investment 40-85% Shares 2 7.27 1.13
ASI Gbl Bal Grw I Inc Mixed Investment 40-85% Shares 2 7.21 1.14
ASI Gbl Bal Grw R Pf 1 A Mixed Investment 40-85% Shares 2 7.22 1.08
ASI Gbl Bal Grw R Pf 1 I Mixed Investment 40-85% Shares 2 7.18 1.09
ASI Gbl Bal Grw Ret Acc Mixed Investment 40-85% Shares 2 6.80 0.76
ASI Gbl Bal Grw Ret CAT Mixed Investment 40-85% Shares 2 6.82 0.78
ASI Gbl Bal Grw Ret Inc Mixed Investment 40-85% Shares 2 6.78 0.76
ASI Gbl Govt Bnd Trckr B Acc Global Bonds 0.00 0.23
ASI Gbl Govt Bnd Trckr X Acc Global Bonds 0.00 0.35
ASI Gbl Hi Yield Bd A Acc Sterling High Yield 3 0.21 3.90
ASI Gbl Hi Yield Bd A Inc Sterling High Yield 3 -0.69 3.90
Fund name 1 day return (%) 1 week return (%) 1 month return (%) 3 months return (%) 6 months return (%) Price date
ASI Euro Corporate Bond I Acc 0.32 0.76 3.34 3.75 3.48 22/06/2020
ASI Euro Corporate Bond I Inc 0.17 0.76 3.34 3.74 3.48 22/06/2020
ASI Euro Corporate Bond M Acc 0.32 0.76 3.35 3.78 3.52 22/06/2020
ASI Euro Corporate Bond M Inc 0.14 0.76 3.35 3.76 3.51 22/06/2020
ASI Europe ex UK Equity A Acc -0.41 -2.39 -4.64 8.40 1.92 29/01/2021
ASI Europe ex UK Equity I Acc -0.41 -2.38 -4.60 8.52 2.15 29/01/2021
ASI Europe ex UK Equity M Acc -0.42 -2.38 -4.61 8.50 2.12 29/01/2021
ASI Europe ex UK Equity Z Acc -0.41 -2.37 -4.55 8.72 2.53 29/01/2021
ASI European Eq Tracker B Acc -0.33 -2.17 -3.02 14.88 6.93 29/01/2021
ASI European Eq Tracker N Acc -0.33 -2.17 -3.02 14.87 6.89 29/01/2021
ASI European Eq Tracker X Acc -0.33 -2.16 -3.02 14.89 6.91 29/01/2021
ASI European Eq Tracker X Inc -0.32 -2.16 -3.02 14.88 6.90 29/01/2021
ASI European Hi Yield Bd A Acc 0.13 0.14 0.37 6.32 8.15 29/01/2021
ASI European Hi Yield Bd A Inc 0.14 0.15 0.37 6.32 8.15 29/01/2021
ASI European Hi Yield Bd I Acc 0.13 0.15 0.42 6.44 8.40 29/01/2021
ASI European Hi Yield Bd I Inc 0.13 0.15 0.41 6.44 8.39 29/01/2021
ASI European Hi Yield Bd M Acc 0.13 0.14 0.41 6.42 8.36 29/01/2021
ASI European Hi Yield Bd M Inc 0.14 0.15 0.41 6.45 8.42 29/01/2021
ASI European Hi Yield Bd Z Acc 0.13 0.16 0.47 6.62 8.78 29/01/2021
ASI European Sm Cos A Acc 0.66 -2.09 -2.73 10.89 12.39 29/01/2021
ASI European Sm Cos I Acc 0.66 -2.08 -2.69 11.01 12.65 29/01/2021
ASI European Sm Cos K Acc 0.66 -2.08 -2.68 11.03 12.68 29/01/2021
ASI European Sm Cos M Acc 0.66 -2.08 -2.69 11.00 12.62 29/01/2021
ASI Eurpn Eq Enhcd Ix A Acc -0.37 -2.40 -3.07 13.45 5.47 29/01/2021
ASI Eurpn Eq Enhcd Ix B -0.37 -2.40 -3.06 13.47 5.50 29/01/2021
ASI Eurpn Eq Enhcd Ix N Acc -0.37 -2.39 -3.05 13.50 5.57 29/01/2021
ASI Eurpn Eq Enhcd Ix X Acc -0.37 -2.40 -3.05 13.52 5.60 29/01/2021
ASI EurxUKIncEq I Acc -0.13 -2.48 -2.48 12.45 3.97 29/01/2021
ASI EurxUKIncEq I Inc -0.09 -2.45 -2.45 12.43 3.98 29/01/2021
ASI EurxUKIncEq Inst S Acc -0.09 -2.45 -2.43 12.50 4.07 29/01/2021
ASI EurxUKIncEq Inst S Inc -0.09 -2.44 -2.42 12.48 4.03 29/01/2021
ASI EurxUKIncEq R Acc -0.14 -2.46 -2.53 12.25 3.68 29/01/2021
ASI EurxUKIncEq R Inc -0.09 -2.47 -2.48 12.30 3.74 29/01/2021
ASI EurxUKIncEq R Pf 1 A -0.09 -2.50 -2.42 12.38 4.00 29/01/2021
ASI EurxUKIncEq R Pf 1 I -0.09 -2.46 -2.45 12.41 3.94 29/01/2021
ASI EurxUKIncEq SL Acc -0.06 -2.40 -2.34 12.66 4.40 29/01/2021
ASI Financial Equity A Inc 0.10 -4.03 -3.65 12.60 9.45 29/01/2021
ASI Financial Equity I Inc 0.10 -4.03 -3.62 12.73 9.70 29/01/2021
ASI Financial Equity M Inc 0.10 -4.03 -3.62 12.71 9.67 29/01/2021
ASI Gbl Bal Grw I Acc -0.22 -2.28 -1.39 10.19 9.55 29/01/2021
ASI Gbl Bal Grw I Inc -0.23 -2.30 -1.39 10.18 9.49 29/01/2021
ASI Gbl Bal Grw R Pf 1 A -0.19 -2.28 -1.38 10.21 9.56 29/01/2021
ASI Gbl Bal Grw R Pf 1 I -0.25 -2.28 -1.42 10.18 9.51 29/01/2021
ASI Gbl Bal Grw Ret Acc -0.25 -2.29 -1.42 10.08 9.30 29/01/2021
ASI Gbl Bal Grw Ret CAT -0.26 -2.31 -1.43 10.07 9.35 29/01/2021
ASI Gbl Bal Grw Ret Inc -0.23 -2.27 -1.45 10.13 9.33 29/01/2021
ASI Gbl Govt Bnd Trckr B Acc -0.38 0.03 -0.77 -0.90 - 29/01/2021
ASI Gbl Govt Bnd Trckr X Acc -0.38 0.03 -0.76 -0.87 - 29/01/2021
ASI Gbl Hi Yield Bd A Acc 0.28 0.42 2.25 1.30 12.21 26/10/2020
ASI Gbl Hi Yield Bd A Inc -0.60 -0.46 1.34 0.39 11.20 26/10/2020
Fund name Crown rating 0-12m (%) 12-24m (%) 24-36m (%) 36-48m (%) 48-60m (%)
ASI Euro Corporate Bond I Acc 3 0.37 6.22 0.37 16.85 12.30
ASI Euro Corporate Bond I Inc 3 0.36 6.23 0.38 16.85 12.29
ASI Euro Corporate Bond M Acc 3 0.70 - - - -
ASI Euro Corporate Bond M Inc 3 0.70 - - - -
ASI Europe ex UK Equity A Acc 5 6.38 26.69 -2.74 17.11 25.65
ASI Europe ex UK Equity I Acc 5 6.86 27.25 -2.06 18.07 26.59
ASI Europe ex UK Equity M Acc 5 6.80 27.50 - - -
ASI Europe ex UK Equity Z Acc 5 7.66 28.21 -1.32 18.96 27.54
ASI European Eq Tracker B Acc 5.39 - - - -
ASI European Eq Tracker N Acc 5.32 - - - -
ASI European Eq Tracker X Acc 5.35 - - - -
ASI European Eq Tracker X Inc - - - - -
ASI European Hi Yield Bd A Acc 2 4.52 9.09 -3.77 5.91 8.25
ASI European Hi Yield Bd A Inc 2 4.50 9.08 -3.77 5.91 8.24
ASI European Hi Yield Bd I Acc 2 4.98 9.58 -3.26 6.50 8.85
ASI European Hi Yield Bd I Inc 2 4.96 9.58 -3.26 6.50 8.83
ASI European Hi Yield Bd M Acc 2 4.93 9.91 - - -
ASI European Hi Yield Bd M Inc 2 4.99 9.70 - - -
ASI European Hi Yield Bd Z Acc 2 5.72 10.35 -2.58 7.24 9.61
ASI European Sm Cos A Acc 5 13.25 23.79 -3.05 23.84 26.78
ASI European Sm Cos I Acc 5 13.76 24.34 -2.37 24.78 27.72
ASI European Sm Cos K Acc 5 13.84 24.43 -2.30 24.88 -
ASI European Sm Cos M Acc 5 13.70 24.63 - - -
ASI Eurpn Eq Enhcd Ix A Acc 2 4.13 17.32 - - -
ASI Eurpn Eq Enhcd Ix B 2 4.19 17.26 -10.73 19.34 29.06
ASI Eurpn Eq Enhcd Ix N Acc 2 4.31 - - - -
ASI Eurpn Eq Enhcd Ix X Acc 2 4.39 17.51 -10.56 19.57 -
ASI EurxUKIncEq I Acc 2 5.50 17.79 -11.97 15.98 22.07
ASI EurxUKIncEq I Inc 2 5.52 17.73 -12.04 16.08 22.03
ASI EurxUKIncEq Inst S Acc 2 5.73 17.86 -11.70 16.17 22.25
ASI EurxUKIncEq Inst S Inc 2 5.67 17.84 -11.81 16.56 22.23
ASI EurxUKIncEq R Acc 2 5.01 17.21 -12.36 15.46 21.38
ASI EurxUKIncEq R Inc 2 5.04 17.18 -12.42 15.49 21.48
ASI EurxUKIncEq R Pf 1 A 2 5.50 17.70 -12.02 15.97 21.94
ASI EurxUKIncEq R Pf 1 I 2 5.46 17.67 -12.07 15.97 21.96
ASI EurxUKIncEq SL Acc 2 6.35 18.69 -11.33 16.92 22.98
ASI Financial Equity A Inc 4 -1.65 15.74 -3.46 17.69 41.17
ASI Financial Equity I Inc 4 -1.20 16.25 -2.78 18.58 42.21
ASI Financial Equity M Inc 4 -1.25 16.59 - - -
ASI Gbl Bal Grw I Acc 2 7.27 15.18 -6.75 12.95 21.77
ASI Gbl Bal Grw I Inc 2 7.21 15.24 -6.80 12.99 21.71
ASI Gbl Bal Grw R Pf 1 A 2 7.22 15.16 -6.82 12.93 21.68
ASI Gbl Bal Grw R Pf 1 I 2 7.18 15.14 -6.81 12.94 21.68
ASI Gbl Bal Grw Ret Acc 2 6.80 14.77 -7.19 12.56 21.16
ASI Gbl Bal Grw Ret CAT 2 6.82 14.76 -7.12 12.47 21.30
ASI Gbl Bal Grw Ret Inc 2 6.78 14.78 -7.17 12.49 21.18
ASI Gbl Govt Bnd Trckr B Acc - - - - -
ASI Gbl Govt Bnd Trckr X Acc - - - - -
ASI Gbl Hi Yield Bd A Acc 3 0.21 5.44 -1.64 6.81 3.78
ASI Gbl Hi Yield Bd A Inc 3 -0.69 5.44 -1.70 6.88 3.75
Fund name Currency Minimum initial investment Minimum top up Standard initial charge (%) Annual management charge (%) Total expense ratio (%) Ongoing charge (%)
ASI Euro Corporate Bond I Acc GBX 1,000,000 50,000 0.00 0.50 - 0.610
ASI Euro Corporate Bond I Inc GBX 1,000,000 50,000 0.00 0.50 - 0.610
ASI Euro Corporate Bond M Acc GBX 1,000,000 50,000 0.00 0.50 - 0.660
ASI Euro Corporate Bond M Inc GBX 1,000,000 50,000 0.00 0.50 - 0.660
ASI Europe ex UK Equity A Acc GBX 500 50 0.00 1.20 - 1.320
ASI Europe ex UK Equity I Acc GBX 1,000,000 50,000 0.00 0.75 - 0.870
ASI Europe ex UK Equity M Acc GBX 1,000,000 50,000 0.00 0.75 - 0.920
ASI Europe ex UK Equity Z Acc GBX 1,000,000 10,000 0.00 0.00 - 0.120
ASI European Eq Tracker B Acc GBX 1,000,000 50,000 0.00 0.07 - 0.130
ASI European Eq Tracker N Acc GBX 1,000,000 50,000 0.00 0.03 - 0.090
ASI European Eq Tracker X Acc GBX 5,000,000 10,000 0.00 0.00 - 0.060
ASI European Eq Tracker X Inc GBX 5,000,000 10,000 0.00 0.00 - 0.060
ASI European Hi Yield Bd A Acc GBX 500 50 0.00 1.15 - 1.260
ASI European Hi Yield Bd A Inc GBX 500 50 0.00 1.15 - 1.260
ASI European Hi Yield Bd I Acc GBX 1,000,000 50,000 0.00 0.70 - 0.810
ASI European Hi Yield Bd I Inc GBX 1,000,000 50,000 0.00 0.70 - 0.810
ASI European Hi Yield Bd M Acc GBX 1,000,000 50,000 0.00 0.70 - 0.860
ASI European Hi Yield Bd M Inc GBX 1,000,000 50,000 0.00 0.70 - 0.860
ASI European Hi Yield Bd Z Acc GBX 1,000,000 10,000 0.00 0.00 - 0.110
ASI European Sm Cos A Acc GBX 500 50 0.00 1.20 - 1.320
ASI European Sm Cos I Acc GBX 1,000,000 50,000 0.00 0.75 - 0.870
ASI European Sm Cos K Acc GBX 150,000 150,000,000 0.00 0.68 - 0.795
ASI European Sm Cos M Acc GBX 1,000,000 50,000 0.00 0.75 - 0.920
ASI Eurpn Eq Enhcd Ix A Acc GBX 500 50 0.00 0.20 - 0.310
ASI Eurpn Eq Enhcd Ix B GBX 1,000,000 50,000 0.00 0.20 - 0.260
ASI Eurpn Eq Enhcd Ix N Acc GBX 1,000,000 50,000 0.00 0.10 - 0.130
ASI Eurpn Eq Enhcd Ix X Acc GBX 5,000,000 10,000 0.00 0.00 - 0.060
ASI EurxUKIncEq I Acc GBX 5,000,000 50,000 0.00 0.75 0.85 0.860
ASI EurxUKIncEq I Inc GBX 5,000,000 50,000 0.00 0.75 0.86 0.860
ASI EurxUKIncEq Inst S Acc GBX 150,000,000 0 0.00 0.60 - 0.740
ASI EurxUKIncEq Inst S Inc GBX 150,000,000 0 0.00 0.60 - 0.740
ASI EurxUKIncEq R Acc GBX 500 500 4.00 1.30 1.60 1.330
ASI EurxUKIncEq R Inc GBX 500 500 4.00 1.30 1.61 1.330
ASI EurxUKIncEq R Pf 1 A GBX 1,000,000 0 0.00 0.75 0.90 0.910
ASI EurxUKIncEq R Pf 1 I GBX 1,000,000 0 0.00 0.75 0.91 0.910
ASI EurxUKIncEq SL Acc GBX 0 0 0.00 0.00 - 0.110
ASI Financial Equity A Inc GBX 500 50 0.00 1.20 - 1.320
ASI Financial Equity I Inc GBX 1,000,000 50,000 0.00 0.75 - 0.870
ASI Financial Equity M Inc GBX 1,000,000 50,000 0.00 0.75 - 0.920
ASI Gbl Bal Grw I Acc GBX 5,000,000 50,000 0.00 0.50 0.61 0.630
ASI Gbl Bal Grw I Inc GBX 5,000,000 50,000 0.00 0.50 0.60 0.630
ASI Gbl Bal Grw R Pf 1 A GBX 1,000,000 0 0.00 0.50 0.66 0.680
ASI Gbl Bal Grw R Pf 1 I GBX 1,000,000 0 0.00 0.50 0.65 0.680
ASI Gbl Bal Grw Ret Acc GBX 500 500 4.00 1.00 1.36 1.050
ASI Gbl Bal Grw Ret CAT GBX 500 50 0.00 1.00 1.00 1.010
ASI Gbl Bal Grw Ret Inc GBX 500 500 4.00 1.00 1.35 1.050
ASI Gbl Govt Bnd Trckr B Acc GBX 1,000,000 0 0.00 0.12 - 0.150
ASI Gbl Govt Bnd Trckr X Acc GBX 0 0 0.00 0.00 - 0.030
ASI Gbl Hi Yield Bd A Acc GBX 500 50 0.00 1.10 - 1.210
ASI Gbl Hi Yield Bd A Inc GBX 500 50 0.00 1.10 - 1.210
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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