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Funds shares

Funds cap. guarantee: 1

Funds global: 141

Funds hedge: 95

Funds shares: 14.824

Funds in the ranking: 737

*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
91° Fidelity Target™ 2050 (Euro) A-ACC-Euro Fidelity Target™ 2050 (Euro) A-ACC-EuroLU1025014629 7.88% (38°) 26.91% (68°) 13.11% (91°) 7.10% (88°) Open overview
and rankings
92° Fidelity Target™ 2050 (Euro) A-Euro Fidelity Target™ 2050 (Euro) A-EuroLU1025014546 - Distribute dividends 7.86% (42°) 26.92% (67°) 13.10% (92°) 7.11% (86°) Open overview
and rankings
93° Fidelity Target™ 2040 (Euro) A-Euro Fidelity Target™ 2040 (Euro) A-EuroLU0251119318 - Distribute dividends 7.88% (37°) 26.94% (65°) 13.07% (93°) 6.96% (91°) Open overview
and rankings
94° Fidelity Target™ 2040 (Euro) A-ACC-Euro Fidelity Target™ 2040 (Euro) A-ACC-EuroLU0251120084 7.87% (39°) 26.92% (66°) 13.06% (94°) 6.96% (92°) Open overview
and rankings
95° Pictet-Emerging Markets Multi Asset-HZ HKD Pictet-Emerging Markets Multi Asset-HZ HKDLU2317077191 6.56% (78°) 31.07% (44°) 12.97% (95°) 5.98% (156°) Open overview
and rankings
96° Pictet-Emerging Markets Multi Asset-P USD Pictet-Emerging Markets Multi Asset-P USDLU2272219846 6.68% (76°) 33.16% (39°) 12.91% (96°) 5.86% (169°) Open overview
and rankings
97° M&G Episode Growth GBP I Acc M&G Episode Growth GBP I AccGB00B5V3ZY14 4.59% (179°) 20.96% (135°) 12.80% (97°) 8.82% (42°) Open overview
and rankings
98° Fidelity Target™ 2035 (Euro) A-Euro Fidelity Target™ 2035 (Euro) A-EuroLU0251118260 - Distribute dividends 7.74% (43°) 26.79% (73°) 12.72% (98°) 6.28% (129°) Open overview
and rankings
99° Fidelity Target™ 2035 (Euro) A-ACC-Euro Fidelity Target™ 2035 (Euro) A-ACC-EuroLU0251119078 7.74% (44°) 26.80% (72°) 12.72% (99°) 6.27% (132°) Open overview
and rankings
100° Pictet-Emerging Markets Multi Asset-HP EUR Pictet-Emerging Markets Multi Asset-HP EURLU2272220422 7.35% (56°) 32.99% (40°) 12.71% (100°) 2.90% (441°) Open overview
and rankings
101° BSF Systematic Style Factor A2 Hedged BSF Systematic Style Factor A2 HedgedLU1609299281 -0.61% (714°) 10.56% (417°) 12.67% (101°) 8.92% (40°) Open overview
and rankings
102° BNY Mellon Dynamic Factor Premia V10 Sterling W (Acc.) (Hdg) BNY Mellon Dynamic Factor Premia V10 Sterling W (Acc.) (Hdg)IE000Y4VDQ23 1.69% (512°) 21.12% (133°) 12.65% (102°) - Open overview
and rankings
103° M&G Episode Growth GBP R Acc M&G Episode Growth GBP R AccGB00B7MY3T81 4.58% (180°) 20.73% (141°) 12.63% (103°) 8.61% (45°) Open overview
and rankings
104° M&G Episode Growth GBP A Acc M&G Episode Growth GBP A AccGB0031960585 4.59% (178°) 20.78% (138°) 12.63% (104°) 8.55% (46°) Open overview
and rankings
105° Aviva Investors Multi-Manager Flexible Class 2 Acc shares GBP Aviva Investors Multi-Manager Flexible Class 2 Acc shares GBPGB00B1N95279 5.84% (93°) 23.66% (96°) 12.60% (105°) 7.25% (81°) Open overview
and rankings
106° Vanguard Target Retirement 2040 Acc Vanguard Target Retirement 2040 AccGB00BZ6VK781 5.00% (145°) 20.79% (137°) 12.56% (106°) 0.00% (641°) Open overview
and rankings
107° Fidelity Target™ 2040 (Euro) A-ACC-USD (USD/EUR Hdg) Fidelity Target™ 2040 (Euro) A-ACC-USD (USD/EUR Hdg)LU2132458212 6.81% (71°) 25.61% (79°) 12.53% (107°) 9.47% (36°) Open overview
and rankings
108° William Blair Emerging Markets Leaders J USD William Blair Emerging Markets Leaders J USDLU0995405593 11.65% (4°) 34.70% (33°) 12.46% (108°) 1.39% (555°) Open overview
and rankings
109° Aviva Investors Multi-Asset III Class 3 Acc shares GBP Aviva Investors Multi-Asset III Class 3 Acc shares GBPGB00B746Q934 4.72% (165°) 19.12% (186°) 12.45% (109°) 6.83% (99°) Open overview
and rankings
110° UBS (Lux) Key Selection SICAV - Global Allocation (USD) I-X-acc UBS (Lux) Key Selection SICAV - Global Allocation (USD) I-X-accLU0423408631 5.56% (119°) 25.77% (78°) 12.31% (110°) 5.92% (162°) Open overview
and rankings
111° Aviva Investors Multi-Asset III Class 9 Acc shares GBP Aviva Investors Multi-Asset III Class 9 Acc shares GBPGB00BVRZG174 4.70% (169°) 18.90% (194°) 12.26% (111°) 6.77% (102°) Open overview
and rankings
112° Hsbc Global Investment Multi-Strategy Target Return Zchgbp Hsbc Global Investment Multi-Strategy Target Return ZchgbpLU2381374540 4.43% (193°) 21.99% (116°) 12.19% (112°) - Open overview
and rankings
113° BlackRock Dynamic Allocation X GBP BlackRock Dynamic Allocation X GBPGB00BVYJ4075 3.00% (334°) 18.27% (208°) 12.09% (113°) 5.73% (174°) Open overview
and rankings
114° Aviva Investors Multi-Asset III Class 2 Acc shares GBP Aviva Investors Multi-Asset III Class 2 Acc shares GBPGB00B581Z480 4.69% (172°) 18.68% (200°) 12.03% (114°) 6.56% (111°) Open overview
and rankings
115° BSF Systematic Style Factor I2 Hedged BSF Systematic Style Factor I2 HedgedLU1352906538 -0.58% (710°) 10.68% (414°) 11.99% (115°) 11.00% (19°) Open overview
and rankings
116° BSF Systematic Style Factor IPF2 Hedged BSF Systematic Style Factor IPF2 HedgedLU1469409517 -0.51% (707°) 10.39% (425°) 11.99% (116°) 10.86% (21°) Open overview
and rankings
117° 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
118° William Blair Emerging Markets Leaders I USD William Blair Emerging Markets Leaders I USDLU0612811850 11.60% (5°) 34.03% (36°) 11.90% (118°) 0.89% (592°) Open overview
and rankings
119° Allianz RiskMaster Moderate Multi Asset Fund Y (Acc) (GBP) Allianz RiskMaster Moderate Multi Asset Fund Y (Acc) (GBP)GB00BYMVB948 4.75% (163°) 20.27% (152°) 11.90% (119°) 6.16% (139°) Open overview
and rankings
120° Vanguard Target Retirement 2035 Acc Vanguard Target Retirement 2035 AccGB00BZ6VJH11 4.67% (175°) 19.35% (175°) 11.89% (120°) 0.00% (640°) 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.