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Best M – Flexible funds

Ranking of the top 20 M – Flexible funds (Mixed) by composite score (risk-adjusted return). Updated 02/06/2026.

This page ranks 20 M – Flexible funds, a subcategory of Mixed, ordered by a composite score that rewards risk-adjusted return and curve stability while penalizing drawdowns. Use it to compare options within the same investment style before exploring each fund's history in the interactive view.

See interactive version →

ℹ️ Methodology: period and indicators

All indicators are computed over the last 3 years of prices, with daily data. The risk-free rate used is 2.0%.

Score formula (risk-adjusted return):

0.15·R² + 0.15·Sortino* + 0.2·DD* + 0.2·CAGR_excess* + 0.1·Volatility_inv* + 0.2·Ulcer_inv*

* Components normalized to the analyzed set of funds (best in set = 1, worst = 0). The drawdown term is 1 − (MaxDD / 50.0%)2, clamped to [0,1]. Volatility and Ulcer are inverted (less = better).

A higher score means better relative behavior within the analyzed set, not an investment recommendation.

🏆 Ranking

#ISINNameScoreTotal Ret.Annual Ret.VolatilitySharpeSortinoMax DrawdownCalmar
1ES0182527038Cartesio Y, Fi0.7030.95759.59%16.69%9.27%1.591.4810.27%1.63
2LU1966822527CARTESIO FUNDS EQUITY R ACC E0.7010.95362.57%17.76%10.06%1.571.5010.97%1.62
3ES0168798066GESTION BOUTIQ III EFE&ENE MOM0.6890.90834.99%10.42%6.59%1.281.206.14%1.70
4LU0546216713ADEPA FLEXIBLE EQUITIES ACC EU0.6870.95040.64%12.18%8.37%1.221.1411.08%1.10
5ES0173295017INVERGLOBAL FI B ACC EUR0.6860.89226.07%9.23%5.91%1.221.197.67%1.20
6IE00B4Z6HC18BNY Mellon Global Real Return Fund (EUR) A Acc0.6840.93226.31%8.18%6.08%1.020.938.11%1.01
7ES0147897005Impassive Wealth FI0.6830.94147.41%13.67%9.18%1.271.2112.23%1.12
8ES0107696066Alcalá Multigestión Cornamusa FI0.6810.89166.47%18.28%10.97%1.481.4313.49%1.36
9ES0112231016Avantage Fund B FI0.6800.95545.95%13.23%9.32%1.201.1914.13%0.94
10LU0864714000MAINFIRST ABS RET MASS A AC EU0.6770.92739.09%11.79%8.80%1.111.0510.38%1.14
11LU1582988058M&G (Lux) Dynamic Allocation A EUR Acc0.6760.91726.56%8.33%7.20%0.880.827.67%1.09
12ES0111193001ATTITUDE SHERPA NA AC EUR0.6740.93344.24%9.04%7.97%0.880.9910.73%0.84
13LU0107768052Schroder International Selection Fund Inflation Plus A Accumulation EUR0.6520.69132.62%9.75%5.97%1.301.196.31%1.55
14LU1453542851VALUE TREE DYNAMIC CAP EUR0.6490.84040.94%12.26%9.98%1.030.9914.99%0.82
15ES0174115057Cinvest Tercio Capital B FI0.6440.819110.32%27.83%15.88%1.631.6024.12%1.15
16ES0110407139ESFERA I / KALDI, FI0.6440.82828.48%8.53%8.68%0.750.7513.43%0.64
17LU0432616737BALANCED RISK ALLOC A ACC EUR0.6340.66527.87%8.62%7.45%0.890.888.87%0.97
18ES0140074032Abaco Global Value Opportunities C FI0.6270.76732.91%9.56%9.73%0.780.7614.90%0.64
19ES0173323009RENTA 4 WERTEFINDER, FI0.6190.72819.76%6.10%8.47%0.480.4713.62%0.45
20ES0173311103Renta 4 Multigestión Numantia Patrimonio Global FI0.6140.89175.98%14.78%14.74%0.870.9723.79%0.62

📊 Compared evolution (base 100)

❓ Frequently asked questions

How is the fund ranking calculated?

Each fund gets a composite score from 0 to 1 that combines risk-adjusted return (excess CAGR and Sortino), curve stability (R² and inverted volatility) and drawdown control (a non-linear penalty plus the Ulcer Index). Funds are then ordered by that score.

What does the score mean for M – Flexible funds?

A higher score means better relative behavior within the analyzed set: more stable growth and smaller drawdowns for the return achieved. It is a comparison tool, not an investment recommendation.

How often is the data updated?

The ranking is recomputed from daily NAV data each time the site is regenerated. This page was last updated on 02/06/2026.

Is this investment advice?

No. All content is educational and based on historical data. Past performance does not guarantee future results. Consult a licensed advisor before investing.