Our Growth category features accumulation funds that reinvest income, compounding returns over time for a greater chance of growth. Aimed at investors focused on long-term growth without needing regular income.
Janus Henderson Strategic Bond
- ISIN:
- GB00B0JYQW68
- OCF:
- 0.04
Jupiter Global Macro Bond
- ISIN:
- GB00B1XG8G39
- OCF:
- 0.65
Artemis SmartGARP Global Emerging Markets Equity
- ISIN:
- GB00BW9HL132
- OCF:
- 0.86
Fidelity Asia Pacific Opportunities
- ISIN:
- GB00BQ1SWL90
- OCF:
- 0.90
Invesco Global Emerging Markets
- ISIN:
- GB00B8N46731
- OCF:
- 0.75
iShares Emerging Markets Equity Index (UK)
- ISIN:
- GB00B84DY642
- OCF:
- 0.20
Fidelity European
- ISIN:
- GB00BFRT3504
- OCF:
- 0.91
Janus Henderson European Smaller Companies
- ISIN:
- GB0007476426
- OCF:
- 0.89
M&G European Sustain Paris Aligned
- ISIN:
- GB00B5ZSNC68
- OCF:
- 0.53
Schroder European Recovery
- ISIN:
- GB0007221889
- OCF:
- 0.96
Vanguard FTSE Developed Europe ex-UK Equity Index
- ISIN:
- GB00B5B71H80
- OCF:
- 0.12
BlackRock Global Unconstrained Equity (UK)
- ISIN:
- GB00BFK3ML85
- OCF:
- 0.89
Schroder Global Recovery
- ISIN:
- GB00BYRJXL91
- OCF:
- 0.94
Vanguard FTSE Developed World ex-UK Equity Index
- ISIN:
- GB00B59G4Q73
- OCF:
- 0.14
Vanguard Global Small-Cap Index
- ISIN:
- IE00B3X1NT05
- OCF:
- 0.29
GS Japan Equity Partners Portfolio
- ISIN:
- LU1220104142
- OCF:
- 0.90
M&G Japan
- ISIN:
- GB00B74CQP79
- OCF:
- 0.47
Vanguard Japan Stock Index
- ISIN:
- IE00B50MZ948
- OCF:
- 0.16
iShares Environment & Low Carbon Tilt Real Estate Index
- ISIN:
- GB00B5BFJG71
- OCF:
- 0.18
Schroder Global Cities Real Estate
- ISIN:
- GB00B1VPTY75
- OCF:
- 0.90
iShares Mid Cap UK Equity Index (UK)
- ISIN:
- GB00B7VT0938
- OCF:
- 0.17
L&G UK Index Trust
- ISIN:
- GB00B0CNGN12
- OCF:
- 0.10
RGI UK Listed Smaller Companies
- ISIN:
- GB00B1DSZS09
- OCF:
- 0.87
Royal London Sustainable Leaders Trust
- ISIN:
- GB00B7V23Z99
- OCF:
- 0.76
WS - Gresham House UK Micro Cap
- ISIN:
- GB00BV9FYS80
- OCF:
- 0.99
Brown Advisory US Sustainable Growth
- ISIN:
- IE00BF1T6V32
- OCF:
- 0.85
CT American Smaller Companies (US)
- ISIN:
- GB00B8358Z89
- OCF:
- 0.88
L&G US Index Trust
- ISIN:
- GB00B0CNGT73
- OCF:
- 0.10
Janus Henderson - US Sustainable Equity
- ISIN:
- GB00BPH3DD08
- OCF:
- 0.88
Income funds aim to provide regular income through dividends or interest payments. The Select List features various funds focused on equity, property, and bonds, as well as money market funds, catering to investors seeking steady income from their portfolio.
CT UK Social Bond
- ISIN:
- GB00BF233915
- OCF:
- 0.35
iShares UK Gilts All Stocks Index
- ISIN:
- GB00B89VCR08
- OCF:
- 0.11
Man Group Man High Yield Opportunities
- ISIN:
- GB00BJK3W271
- OCF:
- 0.75
Nomura Global Dynamic Bond
- ISIN:
- IE00BWXC8Z75
- OCF:
- 0.66
Royal London Index Linked
- ISIN:
- GB00B3MZ2071
- OCF:
- 0.30
Royal London Sterling Credit
- ISIN:
- GB00B4W1ZT22
- OCF:
- 0.35
Royal London UK Government Bond
- ISIN:
- GB00B63M5F42
- OCF:
- 0.25
Vanguard UK Inflation-Linked Gilt Index
- ISIN:
- GB00B467FS56
- OCF:
- 0.12
Vanguard UK Investment Grade Bond Index
- ISIN:
- IE00B1S74W91
- OCF:
- 0.12
JPM Emerging Markets Income
- ISIN:
- GB00B5N1BC33
- OCF:
- 0.90
Schroder Asian Income
- ISIN:
- GB00B559X853
- OCF:
- 0.90
BlackRock Continental European Income
- ISIN:
- GB00B3Y7MQ71
- OCF:
- 0.91
Guinness Global Equity Income
- ISIN:
- IE00BVYPP131
- OCF:
- 0.77
Man Group Man Japan CoreAlpha
- ISIN:
- GB00B3F47512
- OCF:
- 0.90
Royal London Short Term Money Market
- ISIN:
- GB00B3P2RZ52
- OCF:
- 0.10
iShares Environment & Low Carbon Tilt Real Estate Index
- ISIN:
- GB00B848DD97
- OCF:
- 0.18
Schroder Global Cities Real Estate
- ISIN:
- GB00B1VPTW51
- OCF:
- 0.90
IFSL Evenlode Income
- ISIN:
- GB00BD0B7D55
- OCF:
- 0.88
Man Group Man Income
- ISIN:
- GB00B0117D35
- OCF:
- 0.90
BNY Mellon US Equity Income Fund
- ISIN:
- IE00BD5M7551
- OCF:
- 0.84
M&G North American Dividend
- ISIN:
- GB00B7F5Y731
- OCF:
- 0.55
Mixed investment, multi-asset funds, make investing easier by combining different types of investments, like stocks, bonds, and cash, into one package. This mix helps spread out risk because you’re investing in more than just one type of asset. As the categories suggest, you can opt for different levels of risk to suit your needs.
Aviva Inv AI Multi-asset Plus IV
- ISIN:
- GB00B72W9168
- OCF:
- 0.59
Aviva Inv AI Multi-asset Plus V
- ISIN:
- GB00B7FM5934
- OCF:
- 0.60
HSBC Global Strategy Adventurous Portfolio
- ISIN:
- GB00BYVXBH99
- OCF:
- 0.21
HSBC Global Strategy Dynamic Portfolio
- ISIN:
- GB00B849DT80
- OCF:
- 0.19
Aviva Inv AI Multi-asset Plus II
- ISIN:
- GB00B4XCWJ38
- OCF:
- 0.34
Aviva Inv AI Multi-asset Plus III
- ISIN:
- GB00B581Z480
- OCF:
- 0.58
HSBC Global Strategy Balanced Portfolio
- ISIN:
- GB00B76WP695
- OCF:
- 0.18
HSBC Global Strategy Conservative Portfolio
- ISIN:
- GB00BYVXBK29
- OCF:
- 0.20
Aviva Inv AI Multi-asset Plus I
- ISIN:
- GB00B3Z57P41
- OCF:
- 0.30
HSBC Global Strategy Cautious Portfolio
- ISIN:
- GB00B84DV184
- OCF:
- 0.21