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Funds & Fund Managers

All calculations in GBP
over :
 Average Manager Total Return : 3.0% (30 September 2013 - 30 September 2014)
Total Return
1 of 23

13.8%

2 of 23

10.5%

3 of 23

8.5%

3 of 23

8.5%

3 of 23

8.5%

6 of 23

8.4%

6 of 23

8.4%

8 of 23

8.3%

9 of 23

7.6%

10 of 23

6.0%

10 of 23

6.0%

12 of 23

4.0%

13 of 23

2.7%

13 of 23

2.7%

13 of 23

2.7%

16 of 23

1.7%

16 of 23

1.7%

18 of 23

1.6%

19 of 23

-1.0%

20 of 23

-5.4%

21 of 23

-7.8%

21 of 23

-7.8%

23 of 23

-12.3%

Managers with less than 12 months history are below. View 1 month performance

Frederiko Belak

Gregor Macintosh

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Performance is for the period shown (month end to month end, bid/bid, gross income reinvested, calculated in GBP). Portions of the information contained on this page was derived by Citywire Financial Publishers Ltd using content supplied by Lipper, A Reuters Company.

Woodford attracts record £1.6bn for new fund

Woodford Investment Management has raised a record £1.6 billion during the offer period for its CF Woodford Equity fund.

JPM appoints head of global strategy

JP Morgan Asset Management has appointed John Bilton to head its global strategy team, which sits within JPMAM’s investment management solutions global multi-asset group.

When and why do you dump the laggard funds?

Wealth managers explain their approach to backing - and selling - underperforming funds

James Clunie: I’m in a shorting ‘arms race’

James Clunie, manager of the £250 million Jupiter Absolute Return fund, tells Wealth Manager how and what he's shorting.

Tony Lanning: my five big asset allocation calls

Tony Lanning, who joined JP Morgan from Henderson last year to run multi-manager portfolios, has shared five major themes driving his Fusion funds.

Abenomics will fail but equities can succeed anyway says Hendry

Eclectica manager Hugh Hendry has abandoned his bearish stance following "mediocre" performance

M&G: Two ways to double your money in just a few years

Eric Lonergan, a multi-asset manager at M&G, has suggested two areas of equity markets where investors could double their money in the medium term.

Jupiter’s Clunie warns investors must risk drawdowns to get returns

Jupiter’s James Clunie believes he can deliver 4-7% annualised returns with his Absolute Return fund, but said investors need to rethink how they view the sector.

Jupiter poaches BlackRock fixed income specialist

Jupiter Fund Management appoints Blackrock's Katharine Dryer as product specialist, fixed interest and multi-asset.

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