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BNY Mellon Newton Discovery X Net Acc NAV: 75.059%BNY Mellon Newton Discovery X Net Acc NAV: 81.747%BNY Mellon Newton Discovery X Net Acc NAV: 71.063%BNY Mellon Newton Discovery X Net Acc NAV: 55.594%BNY Mellon Newton Discovery X Net Acc NAV: 45.799%BNY Mellon Newton Discovery X Net Acc NAV: 41.364%BNY Mellon Newton Discovery X Net Acc NAV: 51.887%BNY Mellon Newton Discovery X Net Acc NAV: 36.973%BNY Mellon Newton Discovery X Net Acc NAV: 21.065%BNY Mellon Newton Discovery X Net Acc NAV: 16.733%BNY Mellon Newton Discovery X Net Acc NAV: 22.73%BNY Mellon Newton Discovery X Net Acc NAV: 19.459%BNY Mellon Newton Discovery X Net Acc NAV: 0%MFM CFS Balanced Opportunities Fund (Class A) Acc: 55.908%MFM CFS Balanced Opportunities Fund (Class A) Acc: 62.473%MFM CFS Balanced Opportunities Fund (Class A) Acc: 57.615%MFM CFS Balanced Opportunities Fund (Class A) Acc: 41.663%MFM CFS Balanced Opportunities Fund (Class A) Acc: 33.239%MFM CFS Balanced Opportunities Fund (Class A) Acc: 36.499%MFM CFS Balanced Opportunities Fund (Class A) Acc: 31.576%MFM CFS Balanced Opportunities Fund (Class A) Acc: 14.989%MFM CFS Balanced Opportunities Fund (Class A) Acc: 1.882%MFM CFS Balanced Opportunities Fund (Class A) Acc: -2.91%MFM CFS Balanced Opportunities Fund (Class A) Acc: -2.888%MFM CFS Balanced Opportunities Fund (Class A) Acc: -2.735%MFM CFS Balanced Opportunities Fund (Class A) Acc: 0%MFM CFS Balanced Opportunities Fund (Class B) Acc: 55.908%MFM CFS Balanced Opportunities Fund (Class B) Acc: 62.473%MFM CFS Balanced Opportunities Fund (Class B) Acc: 57.615%MFM CFS Balanced Opportunities Fund (Class B) Acc: 41.663%MFM CFS Balanced Opportunities Fund (Class B) Acc: 33.239%MFM CFS Balanced Opportunities Fund (Class B) Acc: 36.499%MFM CFS Balanced Opportunities Fund (Class B) Acc: 31.576%MFM CFS Balanced Opportunities Fund (Class B) Acc: 14.989%MFM CFS Balanced Opportunities Fund (Class B) Acc: 1.882%MFM CFS Balanced Opportunities Fund (Class B) Acc: -2.91%MFM CFS Balanced Opportunities Fund (Class B) Acc: -2.888%MFM CFS Balanced Opportunities Fund (Class B) Acc: -2.735%MFM CFS Balanced Opportunities Fund (Class B) Acc: 0%MFM CFS Balanced Opportunities Fund (Class B) Inc: 55.908%MFM CFS Balanced Opportunities Fund (Class B) Inc: 62.473%MFM CFS Balanced Opportunities Fund (Class B) Inc: 57.615%MFM CFS Balanced Opportunities Fund (Class B) Inc: 41.663%MFM CFS Balanced Opportunities Fund (Class B) Inc: 33.239%MFM CFS Balanced Opportunities Fund (Class B) Inc: 36.499%MFM CFS Balanced Opportunities Fund (Class B) Inc: 31.576%MFM CFS Balanced Opportunities Fund (Class B) Inc: 14.989%MFM CFS Balanced Opportunities Fund (Class B) Inc: 1.882%MFM CFS Balanced Opportunities Fund (Class B) Inc: -2.91%MFM CFS Balanced Opportunities Fund (Class B) Inc: -2.888%MFM CFS Balanced Opportunities Fund (Class B) Inc: -2.735%MFM CFS Balanced Opportunities Fund (Class B) Inc: 0%MFM CFS Balanced Opportunities Fund (Class A) Inc: 55.908%MFM CFS Balanced Opportunities Fund (Class A) Inc: 62.473%MFM CFS Balanced Opportunities Fund (Class A) Inc: 57.615%MFM CFS Balanced Opportunities Fund (Class A) Inc: 41.663%MFM CFS Balanced Opportunities Fund (Class A) Inc: 33.239%MFM CFS Balanced Opportunities Fund (Class A) Inc: 36.499%MFM CFS Balanced Opportunities Fund (Class A) Inc: 31.576%MFM CFS Balanced Opportunities Fund (Class A) Inc: 14.989%MFM CFS Balanced Opportunities Fund (Class A) Inc: 1.882%MFM CFS Balanced Opportunities Fund (Class A) Inc: -2.91%MFM CFS Balanced Opportunities Fund (Class A) Inc: -2.888%MFM CFS Balanced Opportunities Fund (Class A) Inc: -2.735%MFM CFS Balanced Opportunities Fund (Class A) Inc: 0%Prudential Growth Acc A: 55.679%Prudential Growth Acc A: 59.123%Prudential Growth Acc A: 52.3%Prudential Growth Acc A: 39.059%Prudential Growth Acc A: 29.155%Prudential Growth Acc A: 23.465%Prudential Growth Acc A: 27.893%Prudential Growth Acc A: 18.866%Prudential Growth Acc A: 8.449%Prudential Growth Acc A: 6.075%Prudential Growth Acc A: 14.631%Prudential Growth Acc A: 13.155%Prudential Growth Acc A: 0%Premier Enterprise I GBP Acc: 54.198%Premier Enterprise I GBP Acc: 60.942%Premier Enterprise I GBP Acc: 48.211%Premier Enterprise I GBP Acc: 33.932%Premier Enterprise I GBP Acc: 23.605%Premier Enterprise I GBP Acc: 20.316%Premier Enterprise I GBP Acc: 21.072%Premier Enterprise I GBP Acc: 9.626%Premier Enterprise I GBP Acc: -6.295%Premier Enterprise I GBP Acc: -3.824%Premier Enterprise I GBP Acc: 0.062%Premier Enterprise I GBP Acc: -2.447%Premier Enterprise I GBP Acc: 0%Premier Enterprise R Acc NAV: 52.782%Premier Enterprise R Acc NAV: 59.592%Premier Enterprise R Acc NAV: 47.095%Premier Enterprise R Acc NAV: 33.025%Premier Enterprise R Acc NAV: 22.86%Premier Enterprise R Acc NAV: 19.677%Premier Enterprise R Acc NAV: 20.442%Premier Enterprise R Acc NAV: 9.074%Premier Enterprise R Acc NAV: -6.538%Premier Enterprise R Acc NAV: -3.997%Premier Enterprise R Acc NAV: -0.043%Premier Enterprise R Acc NAV: -2.455%Premier Enterprise R Acc NAV: 0%Premier Enterprise I GBP DIs NAV: 52.469%Premier Enterprise I GBP DIs NAV: 59.133%Premier Enterprise I GBP DIs NAV: 46.536%Premier Enterprise I GBP DIs NAV: 32.653%Premier Enterprise I GBP DIs NAV: 22.422%Premier Enterprise I GBP DIs NAV: 19.164%Premier Enterprise I GBP DIs NAV: 21.094%Premier Enterprise I GBP DIs NAV: 9.647%Premier Enterprise I GBP DIs NAV: -6.456%Premier Enterprise I GBP DIs NAV: -3.99%Premier Enterprise I GBP DIs NAV: -0.135%Premier Enterprise I GBP DIs NAV: -2.644%Premier Enterprise I GBP DIs NAV: 0%Premier Enterprise Inc NAV: 51.857%Premier Enterprise Inc NAV: 58.626%Premier Enterprise Inc NAV: 46.199%Premier Enterprise Inc NAV: 32.346%Premier Enterprise Inc NAV: 22.239%Premier Enterprise Inc NAV: 19.086%Premier Enterprise Inc NAV: 20.486%Premier Enterprise Inc NAV: 9.12%Premier Enterprise Inc NAV: -6.726%Premier Enterprise Inc NAV: -4.19%Premier Enterprise Inc NAV: -0.241%Premier Enterprise Inc NAV: -2.61%Premier Enterprise Inc NAV: 0%
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Performance to: 20/11/2009
Fund Name
1Mth Perf %
3Mth Perf %
6Mth Perf %
YTD Perf %
1Yr Perf %
BNY Mellon Newton Discovery X Net Acc NAV-3.68+12.51+15.26+40.10+75.06
MFM CFS Balanced Opportunities Fund (Class A) Acc-4.04+10.06+18.49+61.09+55.91
 MFM CFS Balanced Opportunities Fund (Class A) Inc-4.04+10.06+18.49+61.09+55.91
MFM CFS Balanced Opportunities Fund (Class B) Acc-4.04+10.06+18.49+61.09+55.91
MFM CFS Balanced Opportunities Fund (Class B) Inc-4.04+10.06+18.49+61.09+55.91
Prudential Growth Acc A-2.16+11.95+21.73+32.88+55.68
 Premier Enterprise I GBP Acc-4.19+15.13+27.36+54.66+54.20
 Premier Enterprise R Acc NAV-4.27+14.85+26.85+53.32+52.78
 Premier Enterprise I GBP DIs NAV-4.19+14.94+25.91+53.23+52.47
 Premier Enterprise Inc NAV-4.27+14.74+26.04+52.69+51.86
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