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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 : 10.3% (30 September 2014 - 30 September 2017)
Total Return
1 of 45

23.9%

2 of 45

22.7%

3 of 45

21.5%

4 of 45

21.1%

5 of 45

20.3%

6 of 45

19.8%

6 of 45

19.8%

8 of 45

19.8%

9 of 45

19.6%

10 of 45

19.3%

11 of 45

19.3%

12 of 45

19.0%

13 of 45

16.4%

14 of 45

15.8%

15 of 45

15.7%

15 of 45

15.7%

17 of 45

14.8%

17 of 45

14.8%

19 of 45

14.4%

20 of 45

13.6%

21 of 45

13.6%

21 of 45

13.6%

23 of 45

11.7%

24 of 45

8.7%

24 of 45

8.7%

26 of 45

8.5%

26 of 45

8.5%

26 of 45

8.5%

26 of 45

8.5%

30 of 45

7.8%

31 of 45

6.3%

31 of 45

6.3%

31 of 45

6.3%

31 of 45

6.3%

35 of 45

6.1%

36 of 45

5.4%

37 of 45

5.2%

38 of 45

2.2%

39 of 45

0.8%

40 of 45

0.1%

41 of 45

-3.3%

41 of 45

-3.3%

41 of 45

-3.3%

41 of 45

-3.3%

45 of 45

-6.3%

Managers with less than 36 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.

BlackRock European equity manager Vincent Devlin to step down

Devlin will relinquish all management roles within BlackRock's European equity team and will be replaced by Stefan Gries.

Investec AM's Brazier warns of second EU referendum

Investec Asset Management trio Mundy, Stopford and Brazier discuss portfolio positioning following the election.

Coombs: 'blunt tool' passive beta no use for risks ahead

David Coombs has come out firmly against passive investment calling it a ‘blunt tool’ and ‘riskier than active.’

Newton lines up new launches after ‘challenging year’

Despite a ‘challenging year’ in which it experienced £1.2 billion of net outflows, Newton Investment Management is gearing up for ‘new product and services’ launches in 2017.

Ruffer named as mystery '50 Cent' buyer of 'fear' options

Traders believe they have identified Ruffer as the big buyer of Vix volatility options designed to protect its funds from a market crash.

Big bets on Euro equity rewarded as Macron takes lead

Chunky bet on European equities have paid off in spades for Columbia Threadneedle

Rathbones’ Coombs: why I’m holding so much cash

Citywire AAA-rated David Coombs, manager of the Rathbone Multi-Asset Portfolio funds, paints a very bleak picture of the world.

Ruffer: Trump’s unstoppable force hits immovable gridlock

Ruffer Investment Company pruned equity risk and cut duration exposure down to close to zero last month.

Ruffer: US 'working man' could send market tumbling

The US 'working man' is worse off and has started to fight back. 'This is very bad for profits', says Jonathan Ruffer.

A-rated Flood swaps traditional alternatives for real assets

Paul Flood has started to lose faith in the financial engineering underpinning many alternative strategies and is opting to increase investment in real assets

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