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Funds cap. guarantee: 1

Funds global: 141

Funds hedge: 95

Funds shares: 14.824

Funds in the ranking: 527

*Ranking updated on 27.04.2026.
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 Sort 1Y Sort 3Y* 5Y*Sort Product overview
151° Variopartner SICAV Vontobel Conviction Balanced CHF F Variopartner SICAV Vontobel Conviction Balanced CHF FLU1821895882 4.55% (195°) 18.98% (126°) 9.54% (151°) 6.01% (57°) Open overview
and rankings
152° BlackRock Consensus 70 A Acc BlackRock Consensus 70 A AccGB00B7XB9457 3.33% (388°) 15.01% (253°) 9.53% (152°) 0.00% (477°) Open overview
and rankings
153° BNY Mellon Global Real Return GBP Sterling W Inc. BNY Mellon Global Real Return GBP Sterling W Inc.IE00B90JQM39 - Distribute dividends 3.38% (375°) 16.98% (182°) 9.46% (153°) 4.07% (196°) Open overview
and rankings
154° Schroder Sustainable Future Multi-Asset Q1 Schroder Sustainable Future Multi-Asset Q1GB00BJRSWL41 4.23% (266°) 17.18% (176°) 9.44% (154°) - Open overview
and rankings
155° Goldman Sachs Global Multi-Asset Balanced Portfolio R (GBP-Partially Hdg) Goldman Sachs Global Multi-Asset Balanced Portfolio R (GBP-Partially Hdg)LU1057462530 - Distribute dividends 4.17% (278°) 14.13% (303°) 9.42% (155°) 4.17% (189°) Open overview
and rankings
156° GAM Star Global Defensive U Acc GBP GAM Star Global Defensive U Acc GBPIE00BYQ0FK60 5.22% (134°) 18.40% (148°) 9.39% (156°) 3.46% (248°) Open overview
and rankings
157° Legal & General UTM L&G Mixed Investment 20-60% (C) Acc Legal & General UTM L&G Mixed Investment 20-60% (C) AccGB00BMHTPK88 3.79% (324°) 14.40% (285°) 9.37% (157°) 0.00% (453°) Open overview
and rankings
158° Schroder Dynamic Multi Asset Z Schroder Dynamic Multi Asset ZGB00B2Q1N560 4.29% (251°) 17.08% (179°) 9.36% (158°) 4.22% (185°) Open overview
and rankings
159° Schroder Sustainable Future Multi-Asset Z Schroder Sustainable Future Multi-Asset ZGB00B2Q1N909 - Distribute dividends 4.23% (267°) 17.06% (180°) 9.36% (159°) 4.22% (186°) Open overview
and rankings
160° BGF Global Allocation E2 EUR BGF Global Allocation E2 EURLU0171283533 4.47% (206°) 16.98% (181°) 9.32% (160°) 4.65% (147°) Open overview
and rankings
161° T. Rowe Price Funds Global Allocation Extended I T. Rowe Price Funds Global Allocation Extended ILU1614212279 4.54% (198°) 15.67% (217°) 9.28% (161°) 5.52% (81°) Open overview
and rankings
162° GAM Star Global Cautious Ordinary Acc GBP GAM Star Global Cautious Ordinary Acc GBPIE00B8ML9D26 3.40% (368°) 12.59% (374°) 9.27% (162°) 3.31% (259°) Open overview
and rankings
163° GAM Star Global Defensive T Acc GBP GAM Star Global Defensive T Acc GBPIE00B8X9CW53 5.20% (136°) 18.25% (151°) 9.27% (163°) 3.32% (257°) Open overview
and rankings
164° Legal & General UTM L&G Mixed Investment 20-60% (F) Acc Legal & General UTM L&G Mixed Investment 20-60% (F) AccGB00BDGNVT97 4.92% (154°) 14.63% (272°) 9.27% (164°) 0.00% (450°) Open overview
and rankings
165° Schroder Monthly Income A Schroder Monthly Income AGB00B4XXZ535 3.33% (386°) 14.58% (276°) 9.26% (165°) 4.65% (148°) Open overview
and rankings
166° BNY Mellon Global Unconstrained USD W Acc. BNY Mellon Global Unconstrained USD W Acc.IE00BYZ8S681 4.25% (261°) 17.14% (177°) 9.24% (166°) 5.98% (61°) Open overview
and rankings
167° Legal & General UTM L&G Mixed Investment 20-60% (I) Acc Legal & General UTM L&G Mixed Investment 20-60% (I) AccGB00BMHTPP34 3.77% (331°) 14.27% (295°) 9.24% (167°) 0.00% (455°) Open overview
and rankings
168° BGF Global Allocation E2 USD BGF Global Allocation E2 USDLU0147396450 4.24% (262°) 16.91% (184°) 9.23% (168°) 4.65% (146°) Open overview
and rankings
169° Carmignac Portfolio Emerging Patrimoine A EUR Ydis Carmignac Portfolio Emerging Patrimoine A EUR YdisLU0807690911 - Distribute dividends 2.92% (428°) 24.43% (53°) 9.23% (169°) 2.83% (291°) Open overview
and rankings
170° Invesco Balanced-Risk Allocation A (GBP Hdg) Acc GBP Invesco Balanced-Risk Allocation A (GBP Hdg) Acc GBPLU1564318001 5.35% (117°) 20.24% (89°) 9.23% (170°) 2.62% (307°) Open overview
and rankings
171° Swisscanto (LU) Portfolio Fund Committed Balance (EUR) BT Swisscanto (LU) Portfolio Fund Committed Balance (EUR) BTLU0999466799 4.42% (217°) 14.76% (268°) 9.22% (171°) 4.53% (160°) Open overview
and rankings
172° T. Rowe Price Funds Global Allocation Extended Q T. Rowe Price Funds Global Allocation Extended QLU1614212352 4.58% (191°) 15.58% (220°) 9.21% (172°) 5.44% (90°) Open overview
and rankings
173° MFS Meridian Funds Global Total Return WH1GBP MFS Meridian Funds Global Total Return WH1GBPLU0925731761 2.75% (455°) 13.45% (325°) 9.20% (173°) 3.62% (231°) Open overview
and rankings
174° BGF Global Allocation E2 Hedged EUR BGF Global Allocation E2 Hedged EURLU0212926132 5.26% (129°) 17.31% (171°) 9.14% (174°) 1.68% (371°) Open overview
and rankings
175° BSF Managed Index Portfolios - Moderate Class A2 BSF Managed Index Portfolios - Moderate Class A2LU1241524708 4.37% (235°) 15.30% (234°) 9.13% (175°) 4.02% (198°) Open overview
and rankings
176° BSF Managed Index Portfolios - Moderate Class A4 BSF Managed Index Portfolios - Moderate Class A4LU1273675311 - Distribute dividends 4.36% (238°) 15.29% (236°) 9.13% (176°) 4.02% (199°) Open overview
and rankings
177° Legal & General UTM L&G Mixed Investment Income 20-60% (D) Acc Legal & General UTM L&G Mixed Investment Income 20-60% (D) AccGB00BYW6C299 3.20% (399°) 12.04% (403°) 9.10% (177°) 0.00% (458°) Open overview
and rankings
178° BL Global 50 BI EUR BL Global 50 BI EURLU0495653056 2.90% (435°) 15.79% (212°) 9.09% (178°) 6.21% (42°) Open overview
and rankings
179° Janus Henderson Global Responsible Managed A Acc Janus Henderson Global Responsible Managed A AccGB0031833402 6.14% (64°) 13.87% (313°) 9.08% (179°) 4.77% (137°) Open overview
and rankings
180° Carmignac Portfolio Emerging Patrimoine A EUR Acc Carmignac Portfolio Emerging Patrimoine A EUR AccLU0592698954 2.06% (519°) 26.61% (32°) 9.06% (180°) 7.00% (16°) 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.