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Funds & Fund Managers

All calculations in GBP
over :
 Average Manager Total Return : 6.9% (30 September 2013 - 30 September 2014)
Total Return
1 of 58

14.4%

2 of 58

12.0%

3 of 58

11.8%

4 of 58

10.9%

5 of 58

10.3%

6 of 58

10.2%

6 of 58

10.2%

8 of 58

9.9%

8 of 58

9.9%

10 of 58

9.8%

11 of 58

9.5%

11 of 58

9.5%

13 of 58

8.6%

14 of 58

8.6%

14 of 58

8.6%

16 of 58

8.1%

16 of 58

8.1%

18 of 58

8.0%

19 of 58

7.9%

20 of 58

7.7%

20 of 58

7.7%

22 of 58

7.3%

23 of 58

7.1%

24 of 58

7.0%

25 of 58

6.9%

26 of 58

6.9%

27 of 58

6.9%

28 of 58

6.9%

28 of 58

6.9%

30 of 58

6.7%

30 of 58

6.7%

32 of 58

6.5%

32 of 58

6.5%

34 of 58

6.4%

35 of 58

6.2%

35 of 58

6.2%

35 of 58

6.2%

38 of 58

6.1%

38 of 58

6.1%

38 of 58

6.1%

41 of 58

6.0%

42 of 58

6.0%

43 of 58

6.0%

44 of 58

5.9%

45 of 58

5.9%

45 of 58

5.9%

47 of 58

5.5%

47 of 58

5.5%

49 of 58

5.4%

50 of 58

5.3%

51 of 58

4.9%

51 of 58

4.9%

53 of 58

4.4%

54 of 58

4.0%

55 of 58

3.6%

56 of 58

3.0%

56 of 58

3.0%

56 of 58

3.0%

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

Mark Harris

Andy Li

Azim Meghji

Martin Reeves

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.

Hargreaves to refer discretionary clients to S&W and Brooks

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Wealth managers reveal how they want fund groups to react to losing star employees.

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

Credit not sovereign risk should be bond focus says A-rated Hayes

Credit and not sovereign bond risk should be at the forefront of fixed income investors’ minds over the next year

M&G’s Woolnough: don’t worry about bond liquidity

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

Top 100 fund selector leaves Vestra Wealth

Oliver Blackbourn has left his role as senior investment analyst at Vestra Wealth after five years at the firm.

Woodford v Barnett: three months on, who’s winning?

Wealth Manager looks at which heavyweight is ahead over the past three months in both performance and flow.

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.

£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.

Woolnough: expect ‘redistribution of wealth’ in independent Scotland

Richard Woolnough, manager of the M&G Optimal Income fund, expects politics north and south of the border to shift dramatically if Scotland votes for independence.

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