Register to get unlimited access to all of Citywire’s Fund Manager database. Registration is free and only takes a minute.

Funds & Fund Managers

All calculations in GBP
over :
 Average Manager Total Return : 27.7% (31 December 2011 - 31 December 2014)
Total Return
1 of 49

43.0%

1 of 49

43.0%

3 of 49

42.4%

4 of 49

39.9%

5 of 49

32.8%

6 of 49

32.0%

7 of 49

31.6%

8 of 49

31.5%

9 of 49

31.4%

10 of 49

30.7%

11 of 49

29.5%

12 of 49

28.9%

12 of 49

28.9%

12 of 49

28.9%

15 of 49

28.9%

15 of 49

28.9%

17 of 49

28.6%

18 of 49

28.3%

18 of 49

28.3%

20 of 49

28.3%

21 of 49

27.7%

21 of 49

27.7%

21 of 49

27.7%

24 of 49

27.7%

25 of 49

27.3%

25 of 49

27.3%

27 of 49

27.0%

27 of 49

27.0%

29 of 49

26.4%

29 of 49

26.4%

29 of 49

26.4%

32 of 49

25.3%

32 of 49

25.3%

32 of 49

25.3%

35 of 49

25.2%

36 of 49

25.0%

36 of 49

25.0%

38 of 49

24.9%

38 of 49

24.9%

40 of 49

24.0%

41 of 49

23.7%

42 of 49

23.6%

43 of 49

22.5%

44 of 49

20.5%

44 of 49

20.5%

46 of 49

17.1%

46 of 49

17.1%

48 of 49

15.5%

48 of 49

15.5%

Managers with less than 36 months history are below. View 1 month performance
Show more managers
Citywire Discovery Source: Citywire Discovery 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.

Bigger than the AQR: How TLAC will impact the debt market

The Total Loss Absorption Capacity is posing a potentially signficant impact on fixed income pricing.

Aviva Investors hires Lloyds' market strategy chief to head rates team

Charlie Diebel will be responsible for collaboration between the emerging market debt and developed market rates teams.

Janus Capital reveals five-point plan for Bill Gross’s new fund

Veteran investor set to operate US and Luxembourg versions of unconstrained bond funds with absolute return style.

Profile: The adviser that tempted Robin Minter-Kemp on board

It is rare to meet an impassioned individual who is willing to bang the drum for investment advisory right now

AllianceBernstein’s $24bn man: the truth behind the HY sell-off

The US firm's high yield director Gershon Distenfeld and credit specialist Ivan Rudolph-Shabinsky discuss what the recent sell-off means for investors.

Alt Ucits bond funds: a fixed income safe haven?

Have investors been wise to flock into Alt Ucits bond strategies?

JPM hires Citywire rated multi-manager from Barclays Wealth

Milica Fomicov has left her position as a portfolio manager in the multi-manager team at Barclays Wealth & Investment to join JP Morgan Private Bank.

Kames High Yield Bond

Are CoCos now a no-no?

Should investors follow the FCA's lead and avoid CoCo bonds?

BlackRock hard-closes another star European fund

BlackRock has closed its European Opportunities Extension fund to new money, having taken similar action with several other European mandates over the past year.

Read More