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Active Managed
BNY Mellon Newton Discovery X Net Acc NAV: 44.384%BNY Mellon Newton Discovery X Net Acc NAV: 48.246%BNY Mellon Newton Discovery X Net Acc NAV: 34.636%BNY Mellon Newton Discovery X Net Acc NAV: 30.712%BNY Mellon Newton Discovery X Net Acc NAV: 22.053%BNY Mellon Newton Discovery X Net Acc NAV: 29.664%BNY Mellon Newton Discovery X Net Acc NAV: 24.267%BNY Mellon Newton Discovery X Net Acc NAV: 8.322%BNY Mellon Newton Discovery X Net Acc NAV: -7.6%BNY Mellon Newton Discovery X Net Acc NAV: -1.504%BNY Mellon Newton Discovery X Net Acc NAV: 9.612%BNY Mellon Newton Discovery X Net Acc NAV: -7.185%BNY Mellon Newton Discovery X Net Acc NAV: 0%New Star Cirilium Dynamic Intl GBP Acc NAV: 39.849%New Star Cirilium Dynamic Intl GBP Acc NAV: 39.849%New Star Cirilium Dynamic Intl GBP Acc NAV: 29.14%New Star Cirilium Dynamic Intl GBP Acc NAV: 24.46%New Star Cirilium Dynamic Intl GBP Acc NAV: 15.499%New Star Cirilium Dynamic Intl GBP Acc NAV: 17.302%New Star Cirilium Dynamic Intl GBP Acc NAV: 12.058%New Star Cirilium Dynamic Intl GBP Acc NAV: 2.436%New Star Cirilium Dynamic Intl GBP Acc NAV: -4.363%New Star Cirilium Dynamic Intl GBP Acc NAV: 0.069%New Star Cirilium Dynamic Intl GBP Acc NAV: 3.276%New Star Cirilium Dynamic Intl GBP Acc NAV: -4.529%New Star Cirilium Dynamic Intl GBP Acc NAV: 0%Premier Enterprise I GBP Acc: 39.212%Premier Enterprise I GBP Acc: 36.502%Premier Enterprise I GBP Acc: 22.901%Premier Enterprise I GBP Acc: 16.768%Premier Enterprise I GBP Acc: 9.661%Premier Enterprise I GBP Acc: 11.414%Premier Enterprise I GBP Acc: 6.378%Premier Enterprise I GBP Acc: -8.682%Premier Enterprise I GBP Acc: -18.07%Premier Enterprise I GBP Acc: -11.114%Premier Enterprise I GBP Acc: -7.057%Premier Enterprise I GBP Acc: -11.598%Premier Enterprise I GBP Acc: 0%New Star Cirilium Dynamic Retail GBP Acc NAV: 38.921%New Star Cirilium Dynamic Retail GBP Acc NAV: 38.977%New Star Cirilium Dynamic Retail GBP Acc NAV: 28.409%New Star Cirilium Dynamic Retail GBP Acc NAV: 23.817%New Star Cirilium Dynamic Retail GBP Acc NAV: 14.965%New Star Cirilium Dynamic Retail GBP Acc NAV: 16.874%New Star Cirilium Dynamic Retail GBP Acc NAV: 11.701%New Star Cirilium Dynamic Retail GBP Acc NAV: 2.047%New Star Cirilium Dynamic Retail GBP Acc NAV: -4.675%New Star Cirilium Dynamic Retail GBP Acc NAV: -0.166%New Star Cirilium Dynamic Retail GBP Acc NAV: 3.098%New Star Cirilium Dynamic Retail GBP Acc NAV: -4.592%New Star Cirilium Dynamic Retail GBP Acc NAV: 0%Unicorn Mastertrust B Inc: 38.875%Unicorn Mastertrust B Inc: 43.593%Unicorn Mastertrust B Inc: 30.877%Unicorn Mastertrust B Inc: 25.506%Unicorn Mastertrust B Inc: 16.283%Unicorn Mastertrust B Inc: 17.817%Unicorn Mastertrust B Inc: 12.08%Unicorn Mastertrust B Inc: -2.498%Unicorn Mastertrust B Inc: -11.361%Unicorn Mastertrust B Inc: -4.995%Unicorn Mastertrust B Inc: 0.082%Unicorn Mastertrust B Inc: -9.509%Unicorn Mastertrust B Inc: 0%Unicorn Mastertrust A Inc: 38.515%Unicorn Mastertrust A Inc: 43.27%Unicorn Mastertrust A Inc: 30.616%Unicorn Mastertrust A Inc: 25.272%Unicorn Mastertrust A Inc: 16.085%Unicorn Mastertrust A Inc: 17.646%Unicorn Mastertrust A Inc: 11.942%Unicorn Mastertrust A Inc: -2.604%Unicorn Mastertrust A Inc: -11.438%Unicorn Mastertrust A Inc: -5.057%Unicorn Mastertrust A Inc: 0.036%Unicorn Mastertrust A Inc: -9.532%Unicorn Mastertrust A Inc: 0%MFM CFS Balanced Opportunities Fund (Class A) Inc: 38.415%MFM CFS Balanced Opportunities Fund (Class A) Inc: 40.087%MFM CFS Balanced Opportunities Fund (Class A) Inc: 29.524%MFM CFS Balanced Opportunities Fund (Class A) Inc: 24.646%MFM CFS Balanced Opportunities Fund (Class A) Inc: 20.279%MFM CFS Balanced Opportunities Fund (Class A) Inc: 21.794%MFM CFS Balanced Opportunities Fund (Class A) Inc: 14.103%MFM CFS Balanced Opportunities Fund (Class A) Inc: -3.501%MFM CFS Balanced Opportunities Fund (Class A) Inc: -14.949%MFM CFS Balanced Opportunities Fund (Class A) Inc: -13.179%MFM CFS Balanced Opportunities Fund (Class A) Inc: -9.953%MFM CFS Balanced Opportunities Fund (Class A) Inc: -11.172%MFM CFS Balanced Opportunities Fund (Class A) Inc: 0%MFM CFS Balanced Opportunities Fund (Class B) Acc: 38.415%MFM CFS Balanced Opportunities Fund (Class B) Acc: 40.087%MFM CFS Balanced Opportunities Fund (Class B) Acc: 29.524%MFM CFS Balanced Opportunities Fund (Class B) Acc: 24.646%MFM CFS Balanced Opportunities Fund (Class B) Acc: 20.279%MFM CFS Balanced Opportunities Fund (Class B) Acc: 21.794%MFM CFS Balanced Opportunities Fund (Class B) Acc: 14.103%MFM CFS Balanced Opportunities Fund (Class B) Acc: -3.501%MFM CFS Balanced Opportunities Fund (Class B) Acc: -14.949%MFM CFS Balanced Opportunities Fund (Class B) Acc: -13.179%MFM CFS Balanced Opportunities Fund (Class B) Acc: -9.953%MFM CFS Balanced Opportunities Fund (Class B) Acc: -11.172%MFM CFS Balanced Opportunities Fund (Class B) Acc: 0%MFM CFS Balanced Opportunities Fund (Class B) Inc: 38.415%MFM CFS Balanced Opportunities Fund (Class B) Inc: 40.087%MFM CFS Balanced Opportunities Fund (Class B) Inc: 29.524%MFM CFS Balanced Opportunities Fund (Class B) Inc: 24.646%MFM CFS Balanced Opportunities Fund (Class B) Inc: 20.279%MFM CFS Balanced Opportunities Fund (Class B) Inc: 21.794%MFM CFS Balanced Opportunities Fund (Class B) Inc: 14.103%MFM CFS Balanced Opportunities Fund (Class B) Inc: -3.501%MFM CFS Balanced Opportunities Fund (Class B) Inc: -14.949%MFM CFS Balanced Opportunities Fund (Class B) Inc: -13.179%MFM CFS Balanced Opportunities Fund (Class B) Inc: -9.953%MFM CFS Balanced Opportunities Fund (Class B) Inc: -11.172%MFM CFS Balanced Opportunities Fund (Class B) Inc: 0%MFM CFS Balanced Opportunities Fund (Class A) Acc: 38.415%MFM CFS Balanced Opportunities Fund (Class A) Acc: 40.087%MFM CFS Balanced Opportunities Fund (Class A) Acc: 29.524%MFM CFS Balanced Opportunities Fund (Class A) Acc: 24.646%MFM CFS Balanced Opportunities Fund (Class A) Acc: 20.279%MFM CFS Balanced Opportunities Fund (Class A) Acc: 21.794%MFM CFS Balanced Opportunities Fund (Class A) Acc: 14.103%MFM CFS Balanced Opportunities Fund (Class A) Acc: -3.501%MFM CFS Balanced Opportunities Fund (Class A) Acc: -14.949%MFM CFS Balanced Opportunities Fund (Class A) Acc: -13.179%MFM CFS Balanced Opportunities Fund (Class A) Acc: -9.953%MFM CFS Balanced Opportunities Fund (Class A) Acc: -11.172%MFM CFS Balanced Opportunities Fund (Class A) Acc: 0%
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Performance to: 06/11/2009
Fund Name
1Mth Perf %
3Mth Perf %
6Mth Perf %
YTD Perf %
1Yr Perf %
BNY Mellon Newton Discovery X Net Acc NAV-2.61+10.46+16.19+35.57+44.38
New Star Cirilium Dynamic Intl GBP Acc NAV0.00+12.36+24.80+38.02+39.85
 Premier Enterprise I GBP Acc+1.99+19.22+30.87+54.23+39.21
New Star Cirilium Dynamic Retail GBP Acc NAV-0.04+12.20+24.37+37.33+38.92
 Unicorn Mastertrust B Inc-3.29+10.65+23.91+42.09+38.88
 Unicorn Mastertrust A Inc-3.32+10.57+23.74+41.77+38.52
MFM CFS Balanced Opportunities Fund (Class A) Acc-1.19+11.05+21.31+59.10+38.41
 MFM CFS Balanced Opportunities Fund (Class A) Inc-1.19+11.05+21.31+59.10+38.41
MFM CFS Balanced Opportunities Fund (Class B) Acc-1.19+11.05+21.31+59.10+38.41
MFM CFS Balanced Opportunities Fund (Class B) Inc-1.19+11.05+21.31+59.10+38.41
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