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Funds & Fund Managers

All calculations in GBP
over :
 Average Manager Total Return : 8.7% (30 November 2013 - 30 November 2014)
Total Return
1 of 77

15.3%

2 of 77

14.7%

3 of 77

13.3%

4 of 77

12.7%

5 of 77

12.4%

6 of 77

12.1%

7 of 77

11.8%

8 of 77

11.5%

9 of 77

11.3%

10 of 77

11.0%

10 of 77

11.0%

12 of 77

11.0%

13 of 77

11.0%

13 of 77

11.0%

15 of 77

10.8%

16 of 77

10.6%

17 of 77

10.5%

18 of 77

10.4%

18 of 77

10.4%

20 of 77

10.1%

20 of 77

10.1%

22 of 77

9.8%

23 of 77

9.8%

24 of 77

9.7%

25 of 77

9.7%

26 of 77

9.6%

27 of 77

9.4%

28 of 77

9.4%

29 of 77

9.4%

30 of 77

9.3%

31 of 77

9.1%

32 of 77

9.0%

32 of 77

9.0%

34 of 77

9.0%

35 of 77

8.9%

35 of 77

8.9%

35 of 77

8.9%

38 of 77

8.9%

39 of 77

8.9%

40 of 77

8.8%

40 of 77

8.8%

42 of 77

8.8%

43 of 77

8.6%

44 of 77

8.6%

45 of 77

8.6%

46 of 77

8.6%

47 of 77

8.5%

48 of 77

8.5%

48 of 77

8.5%

48 of 77

8.5%

51 of 77

8.5%

51 of 77

8.5%

53 of 77

8.4%

53 of 77

8.4%

55 of 77

8.3%

56 of 77

8.3%

57 of 77

8.2%

58 of 77

7.8%

59 of 77

7.6%

60 of 77

7.6%

61 of 77

7.1%

62 of 77

7.1%

63 of 77

7.0%

64 of 77

6.9%

65 of 77

6.6%

66 of 77

6.4%

67 of 77

6.0%

67 of 77

6.0%

69 of 77

5.9%

70 of 77

5.8%

71 of 77

5.8%

72 of 77

5.5%

73 of 77

5.5%

74 of 77

4.9%

75 of 77

4.9%

76 of 77

4.6%

77 of 77

2.1%

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

Mark Benstead

Daniel Daldry

Richard Nelson

Kenny Watson

Show more managers

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.

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Richard Woolnough, manager of the giant M&G Optimal Income fund, has dismissed fears about declining liquidity in fixed income markets.

£570m bond fund hard closes over liquidity fears

The CG Real Return fund, which has £573 million of assets under management, will hard close next week.

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Santander hires Schroders bond manager

Divya Manek, formerly a bond manager at Schroders, has joined Santander Asset Management.

Are CoCos now a no-no?

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

TwentyFour hires ex-Ignis credit star Bowie

Chris Bowie, the former head of credit at Ignis, is to join fixed income boutique TwentyFour Asset Management.

Ex-Schroders exec Noach joins Santander

Santander Asset Management has hired a former senior manager from Schroders.

Brown Shipley to overhaul fund range

Brown Shipley is planning to revamp its suite of funds later this year in a process that will include the launch of two new products.

S&W hires ex-JPM veteran for fixed income trust

John Anderson managed JPMorgan's Sterling Corporate Bond fund.

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