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Funds shares

Funds cap. guarantee: 1

Funds global: 143

Funds hedge: 96

Funds shares: 15.530

Funds in the ranking: 765

*Ranking updated on 28.04.2026.
The returns are expressed in euros and the values of 3Y and 5Y are annualised.
Select the period to order to return
# Investment company Name of the fund Add to
portfolio
1M 1Y Sort 3Y* Sort 5Y*Sort Product overview
301° abrdn OEIC I Diversified Income A Inc abrdn OEIC I Diversified Income A IncGB00B1BW3J18 - Distribute dividends 3.82% (301°) 8.48% (472°) 7.01% (372°) 4.15% (305°) Open overview
and rankings
302° abrdn OEIC I Diversified Income A Acc abrdn OEIC I Diversified Income A AccGB00B1BW3K23 3.83% (302°) 8.47% (473°) 7.01% (370°) 4.07% (318°) Open overview
and rankings
303° FIRST EAGLE AMUNDI INCOME BUILDER FUND - FHE (C) FIRST EAGLE AMUNDI INCOME BUILDER FUND - FHE (C)LU1150488721 3.32% (303°) 17.31% (237°) 7.99% (313°) 3.73% (353°) Open overview
and rankings
304° FIRST EAGLE AMUNDI INCOME BUILDER FUND - FHE-QD (D) FIRST EAGLE AMUNDI INCOME BUILDER FUND - FHE-QD (D)LU1095740749 - Distribute dividends 3.31% (304°) 17.25% (238°) 7.97% (315°) 3.72% (356°) Open overview
and rankings
305° UBS (Lux) Strategy SICAV - Dynamic Income (USD) P-mdist UBS (Lux) Strategy SICAV - Dynamic Income (USD) P-mdistLU1917361179 - Distribute dividends 3.31% (305°) 13.69% (350°) 8.43% (283°) 4.89% (236°) Open overview
and rankings
306° UBS (Lux) Strategy SICAV - Dynamic Income (USD) P-acc UBS (Lux) Strategy SICAV - Dynamic Income (USD) P-accLU1917362490 3.30% (306°) 13.69% (351°) 8.43% (284°) 4.89% (237°) Open overview
and rankings
307° BNY Mellon Global Real Return (EUR) Sterling H (Acc.) (Hdg) BNY Mellon Global Real Return (EUR) Sterling H (Acc.) (Hdg)IE00BK5H9X10 3.30% (307°) 16.33% (267°) 9.47% (207°) 3.42% (388°) Open overview
and rankings
308° Man AHL TargetRisk I H SEK Man AHL TargetRisk I H SEKIE00BRJT7R20 3.28% (308°) 21.72% (119°) 9.38% (215°) 2.33% (500°) Open overview
and rankings
309° FIRST EAGLE AMUNDI INCOME BUILDER FUND - AHG-QD (D) FIRST EAGLE AMUNDI INCOME BUILDER FUND - AHG-QD (D)LU1095740400 - Distribute dividends 3.26% (309°) 18.03% (211°) 11.18% (145°) 6.02% (154°) Open overview
and rankings
310° Man AHL TargetRisk D H SEK Man AHL TargetRisk D H SEKIE00BRJT7D83 3.26% (310°) 21.28% (130°) 8.68% (265°) 1.63% (544°) Open overview
and rankings
311° Robeco QI Global Developed Conservative Equities D EUR Robeco QI Global Developed Conservative Equities D EURLU1274519823 3.25% (311°) 16.73% (250°) 11.92% (117°) 9.78% (32°) Open overview
and rankings
312° Invesco Sustainable Allocation Z (Accumulation) USD Hdg Invesco Sustainable Allocation Z (Accumulation) USD HdgLU2692274942 3.25% (312°) 17.73% (220°) - - Open overview
and rankings
313° Invesco Sustainable Allocation C (Accumulation) USD Hdg Invesco Sustainable Allocation C (Accumulation) USD HdgLU2692274512 3.24% (313°) 17.50% (229°) - - Open overview
and rankings
314° H2O Moderato FCP I/A (EUR) H2O Moderato FCP I/A (EUR)FR0010929836 2.36% (314°) 12.06% (368°) 10.20% (163°) 9.44% (34°) Open overview
and rankings
315° HSBC GLOBAL INVESTMENT MULTI-ASSET STYLE FACTORS ZCHGBP HSBC GLOBAL INVESTMENT MULTI-ASSET STYLE FACTORS ZCHGBPLU1808496530 2.37% (315°) 9.06% (448°) 8.57% (264°) 5.39% (195°) Open overview
and rankings
316° DWS Concept Kaldemorgen GBP CH RD DWS Concept Kaldemorgen GBP CH RDLU1422958493 3.14% (316°) 10.95% (411°) 8.65% (269°) 6.17% (137°) Open overview
and rankings
317° BlackRock Market Advantage X GBP BlackRock Market Advantage X GBPGB00BS7K6D30 3.12% (317°) 11.94% (393°) 8.19% (297°) 2.74% (461°) Open overview
and rankings
318° BlackRock Global Funds Dynamic High Income A 11 HKD Hdg BlackRock Global Funds Dynamic High Income A 11 HKD HdgLU3042763477 - Distribute dividends 3.74% (318°) - - - Open overview
and rankings
319° BlackRock Market Advantage D GBP BlackRock Market Advantage D GBPGB00BS7K6668 3.09% (319°) 11.48% (397°) 7.74% (334°) 2.32% (502°) Open overview
and rankings
320° BGF Global Multi-Asset Income A8 Hedged CNH BGF Global Multi-Asset Income A8 Hedged CNHLU1257007564 - Distribute dividends 3.09% (320°) 14.49% (323°) 3.72% (576°) 1.22% (564°) Open overview
and rankings
321° Schroder ISF Global Target Return A Acc Schroder ISF Global Target Return A AccLU1900986727 3.09% (321°) 16.43% (263°) 9.07% (236°) 3.76% (352°) Open overview
and rankings
322° HSBC GLOBAL INVESTMENT MULTI-ASSET STYLE FACTORS BCHGBP HSBC GLOBAL INVESTMENT MULTI-ASSET STYLE FACTORS BCHGBPLU1947927601 2.30% (322°) 8.19% (494°) 7.72% (326°) 4.58% (266°) Open overview
and rankings
323° Schroder ISF Global Target Return A Schroder ISF Global Target Return ALU1823147654 - Distribute dividends 3.08% (323°) 16.41% (265°) 6.66% (406°) 0.35% (607°) Open overview
and rankings
324° BGF Global Multi-Asset Income D4G Hedged EUR BGF Global Multi-Asset Income D4G Hedged EURLU0944772804 - Distribute dividends 3.04% (324°) 11.13% (402°) 6.92% (387°) 1.92% (529°) Open overview
and rankings
325° BGF Global Multi-Asset Income I5G Hedged EUR BGF Global Multi-Asset Income I5G Hedged EURLU1129992480 - Distribute dividends 3.04% (325°) 11.37% (399°) 7.13% (367°) 2.12% (514°) Open overview
and rankings
326° M&G Sustainable Multi Asset GBP L Inc M&G Sustainable Multi Asset GBP L IncGB00BD2PGP05 - Distribute dividends 4.91% (326°) 12.44% (373°) 7.56% (357°) 3.33% (402°) Open overview
and rankings
327° M&G Sustainable Multi Asset GBP L Acc M&G Sustainable Multi Asset GBP L AccGB00BD2PHY60 3.02% (327°) 12.71% (375°) 7.23% (358°) 3.23% (403°) Open overview
and rankings
328° HSBC GLOBAL INVESTMENT MULTI-ASSET STYLE FACTORS ZC HSBC GLOBAL INVESTMENT MULTI-ASSET STYLE FACTORS ZCLU1449948840 2.42% (328°) 8.56% (491°) 6.16% (426°) 3.84% (330°) Open overview
and rankings
329° BGF Global Multi-Asset Income D2 Hedged EUR BGF Global Multi-Asset Income D2 Hedged EURLU1062843344 4.02% (329°) 10.91% (403°) 7.13% (389°) 1.93% (530°) Open overview
and rankings
330° DWS Concept Kaldemorgen FD DWS Concept Kaldemorgen FDLU0599947354 - Distribute dividends 3.01% (330°) 8.90% (492°) 5.43% (484°) 4.08% (321°) Open overview
and rankings

The data and results are provided by . Click on the individual Funds and read the overview with the expected return and risk indicators.