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Balanced Managed
Sand Aire Octane: 39.323%Sand Aire Octane: 41.222%Sand Aire Octane: 36.647%Sand Aire Octane: 28.964%Sand Aire Octane: 23.526%Sand Aire Octane: 23.7%Sand Aire Octane: 20.862%Sand Aire Octane: 14.84%Sand Aire Octane: 8.044%Sand Aire Octane: 12.69%Sand Aire Octane: 15.786%Sand Aire Octane: 3.173%Sand Aire Octane: 0%New Star Cirilium Moderate Intl GBP Acc NAV: 34.468%New Star Cirilium Moderate Intl GBP Acc NAV: 34.222%New Star Cirilium Moderate Intl GBP Acc NAV: 25.216%New Star Cirilium Moderate Intl GBP Acc NAV: 21.342%New Star Cirilium Moderate Intl GBP Acc NAV: 13.731%New Star Cirilium Moderate Intl GBP Acc NAV: 14.816%New Star Cirilium Moderate Intl GBP Acc NAV: 10.511%New Star Cirilium Moderate Intl GBP Acc NAV: 2.677%New Star Cirilium Moderate Intl GBP Acc NAV: -2.985%New Star Cirilium Moderate Intl GBP Acc NAV: 0.58%New Star Cirilium Moderate Intl GBP Acc NAV: 3.393%New Star Cirilium Moderate Intl GBP Acc NAV: -3.75%New Star Cirilium Moderate Intl GBP Acc NAV: 0%New Star Cirilium Moderate Retail GBP Acc NAV: 33.482%New Star Cirilium Moderate Retail GBP Acc NAV: 33.309%New Star Cirilium Moderate Retail GBP Acc NAV: 24.511%New Star Cirilium Moderate Retail GBP Acc NAV: 20.669%New Star Cirilium Moderate Retail GBP Acc NAV: 13.16%New Star Cirilium Moderate Retail GBP Acc NAV: 14.374%New Star Cirilium Moderate Retail GBP Acc NAV: 10.112%New Star Cirilium Moderate Retail GBP Acc NAV: 2.305%New Star Cirilium Moderate Retail GBP Acc NAV: -3.271%New Star Cirilium Moderate Retail GBP Acc NAV: 0.372%New Star Cirilium Moderate Retail GBP Acc NAV: 3.247%New Star Cirilium Moderate Retail GBP Acc NAV: -3.817%New Star Cirilium Moderate Retail GBP Acc NAV: 0%Sand Aire HavenRock: 29.355%Sand Aire HavenRock: 28.475%Sand Aire HavenRock: 26.185%Sand Aire HavenRock: 21.078%Sand Aire HavenRock: 17.908%Sand Aire HavenRock: 18.7%Sand Aire HavenRock: 15.002%Sand Aire HavenRock: 11.039%Sand Aire HavenRock: 9.542%Sand Aire HavenRock: 10.951%Sand Aire HavenRock: 11.304%Sand Aire HavenRock: 2.977%Sand Aire HavenRock: 0%Schroders Institutional Managed Balanced Inc NAV: 28.319%Schroders Institutional Managed Balanced Inc NAV: 29.121%Schroders Institutional Managed Balanced Inc NAV: 22.745%Schroders Institutional Managed Balanced Inc NAV: 20.122%Schroders Institutional Managed Balanced Inc NAV: 8.354%Schroders Institutional Managed Balanced Inc NAV: 11.851%Schroders Institutional Managed Balanced Inc NAV: 8.354%Schroders Institutional Managed Balanced Inc NAV: -0.463%Schroders Institutional Managed Balanced Inc NAV: -11.175%Schroders Institutional Managed Balanced Inc NAV: -0.89%Schroders Institutional Managed Balanced Inc NAV: 4.915%Schroders Institutional Managed Balanced Inc NAV: -5.057%Schroders Institutional Managed Balanced Inc NAV: 0%Schroders Institutional Managed Balanced Acc NAV: 28.001%Schroders Institutional Managed Balanced Acc NAV: 28.824%Schroders Institutional Managed Balanced Acc NAV: 22.459%Schroders Institutional Managed Balanced Acc NAV: 19.579%Schroders Institutional Managed Balanced Acc NAV: 7.865%Schroders Institutional Managed Balanced Acc NAV: 11.326%Schroders Institutional Managed Balanced Acc NAV: 7.865%Schroders Institutional Managed Balanced Acc NAV: -0.92%Schroders Institutional Managed Balanced Acc NAV: -11.568%Schroders Institutional Managed Balanced Acc NAV: -0.895%Schroders Institutional Managed Balanced Acc NAV: 4.889%Schroders Institutional Managed Balanced Acc NAV: -5.058%Schroders Institutional Managed Balanced Acc NAV: 0%Sand Aire FENIX Balanced: 27.694%Sand Aire FENIX Balanced: 27.918%Sand Aire FENIX Balanced: 23.886%Sand Aire FENIX Balanced: 18.733%Sand Aire FENIX Balanced: 12.685%Sand Aire FENIX Balanced: 15.597%Sand Aire FENIX Balanced: 12.237%Sand Aire FENIX Balanced: 7.106%Sand Aire FENIX Balanced: 4.832%Sand Aire FENIX Balanced: 8.652%Sand Aire FENIX Balanced: 9.739%Sand Aire FENIX Balanced: 1.514%Sand Aire FENIX Balanced: 0%Schroders Retail Managed Balanced A Acc NAV: 26.805%Schroders Retail Managed Balanced A Acc NAV: 27.662%Schroders Retail Managed Balanced A Acc NAV: 21.506%Schroders Retail Managed Balanced A Acc NAV: 18.788%Schroders Retail Managed Balanced A Acc NAV: 7.234%Schroders Retail Managed Balanced A Acc NAV: 10.771%Schroders Retail Managed Balanced A Acc NAV: 7.405%Schroders Retail Managed Balanced A Acc NAV: -1.261%Schroders Retail Managed Balanced A Acc NAV: -11.812%Schroders Retail Managed Balanced A Acc NAV: -1.138%Schroders Retail Managed Balanced A Acc NAV: 4.749%Schroders Retail Managed Balanced A Acc NAV: -5.141%Schroders Retail Managed Balanced A Acc NAV: 0%BNY Mellon Newton Global Balanced X Acc NAV: 26.504%BNY Mellon Newton Global Balanced X Acc NAV: 27.852%BNY Mellon Newton Global Balanced X Acc NAV: 19.416%BNY Mellon Newton Global Balanced X Acc NAV: 14.742%BNY Mellon Newton Global Balanced X Acc NAV: 9.018%BNY Mellon Newton Global Balanced X Acc NAV: 14.057%BNY Mellon Newton Global Balanced X Acc NAV: 11.116%BNY Mellon Newton Global Balanced X Acc NAV: 6.811%BNY Mellon Newton Global Balanced X Acc NAV: 0.62%BNY Mellon Newton Global Balanced X Acc NAV: 7.887%BNY Mellon Newton Global Balanced X Acc NAV: 15.318%BNY Mellon Newton Global Balanced X Acc NAV: 2.055%BNY Mellon Newton Global Balanced X Acc NAV: 0%Prudential Managed A: 26.213%Prudential Managed A: 28.047%Prudential Managed A: 20.63%Prudential Managed A: 16.75%Prudential Managed A: 7.369%Prudential Managed A: 11.2%Prudential Managed A: 8.862%Prudential Managed A: 0.941%Prudential Managed A: -10.242%Prudential Managed A: 0.26%Prudential Managed A: 8.375%Prudential Managed A: -3.668%Prudential Managed A: 0%
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Performance to: 06/11/2009
Fund Name
1Mth Perf %
3Mth Perf %
6Mth Perf %
YTD Perf %
1Yr Perf %
 Sand Aire Octane-1.34+8.03+15.27+22.98+39.32
New Star Cirilium Moderate Intl GBP Acc NAV+0.18+10.82+21.68+32.62+34.47
New Star Cirilium Moderate Retail GBP Acc NAV+0.13+10.62+21.22+31.82+33.48
 Sand Aire HavenRock+0.69+6.84+12.48+18.27+29.36
 Schroders Institutional Managed Balanced Inc NAV-0.62+6.82+18.43+26.12+28.32
 Schroders Institutional Managed Balanced Acc NAV-0.64+7.04+18.67+25.78+28.00
 Sand Aire FENIX Balanced-0.18+7.55+13.77+18.79+27.69
 Schroders Retail Managed Balanced A Acc NAV-0.67+6.75+18.06+24.80+26.81
BNY Mellon Newton Global Balanced X Acc NAV-1.05+10.25+13.85+11.41+26.50
Prudential Managed A-1.43+8.11+15.94+19.89+26.21
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