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Showing fund managers & funds available in United Kingdom. View fund & fund manager rankings globally

Funds & Fund Managers

All calculations in GBP, unless stated
over :
 Average Manager Total Return : -2.9% (31 March 2015 - 31 March 2016)
Total Return
1 of 35

6.9%

2 of 35

5.8%

2 of 35

5.8%

4 of 35

1.2%

4 of 35

1.2%

4 of 35

1.2%

7 of 35

1.1%

7 of 35

1.1%

7 of 35

1.1%

10 of 35

0.7%

10 of 35

0.7%

12 of 35

0.3%

13 of 35

0.1%

13 of 35

0.1%

13 of 35

0.1%

16 of 35

-1.2%

16 of 35

-1.2%

18 of 35

-1.3%

19 of 35

-2.2%

19 of 35

-2.2%

21 of 35

-3.0%

22 of 35

-4.1%

23 of 35

-4.2%

24 of 35

-4.7%

25 of 35

-4.9%

25 of 35

-4.9%

27 of 35

-5.7%

27 of 35

-5.7%

27 of 35

-5.7%

27 of 35

-5.7%

31 of 35

-6.1%

32 of 35

-6.4%

33 of 35

-10.7%

33 of 35

-10.7%

35 of 35

-23.2%

Managers with less than 12 months history are below. View 1 month performance
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Performance is for the period shown (month end to month end, bid/bid, gross income reinvested, calculated in the currency and currencies indicated). Portions of the information contained on this page was derived by Citywire Financial Publishers Ltd using content supplied by Lipper, A Reuters Company.

Woodford, Gait and Lyon among HL multi-manager fund’s first buys

CF Woodford Equity Income, Stewart Investors Asia Pacific Leaders and Troy Trojan are just some of the big-name funds featuring in Hargreaves Lansdown’s new multi-manager portfolio.

How Invesco took the multi-asset fight to Gars and won

Invesco Perpetual Global Targeted Returns was the blockbuster smash of summer 2015, with assets more than quadrupling

Odey's Swan flies as equity short pays off explosively

A year-to-date return of 15.4% represents a U-turn on the 12.7% loss in 2015, though ongoing volatility remains a potent threat.

Profile: Fulcrum at a tipping point

Goldman veteran and company CEO Andrew Stevens explains how Fulcrum is finally getting some leverage

BlackRock intensifies multi-asset focus in major structural overhaul

Plans include merging the support network behind BlackRock’s active equity funds range into one cohesive unit and increasing the firm’s global fixed income presence.

Coutts’ Higgins turns to special situations fixed income

There is still some time to go before the Bank of England decides to raise rates, according to Coutts chief investment officer Alan Higgins.

Nordea launches risk-focused multi asset fund

The benchmark-agnostic fund will utilise a risk/return-focused strategy to generate total returns across various economic cycles while limiting downside potential.

Aviva Investors hires ex-BoE man to navigate multi-asset range

Michael Grady joins the team in London from hedge fund firm Comac Capital.  

Aviva Investors makes double appointment on multi-asset desk

Double appointment comes as the multi-asset fund range hits its five year anniversary.

SLI lines up enhanced income Gars fund

The multi-asset fund will target a yield of 4.2% and is set to launch in early next year.

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