All of Chip's Investment Funds

Take a look at the funds available with Chip, and the different ways you can invest with us to build your own diversified portfolio that works for you.

With investing, your capital is at risk. Past performance is not a reliable guide to current or future performance, and should not be the only thing you consider when selecting a fund.
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FTSE All-World

Avg. annual returns

25/06/2020 - 25/06/2025

+

11.11%

-

11.11%

Fund Provider

HSBC

Management Charges

0.13%

Risk level

High risk

5 of 7

Category

Index Tracker

Region

Global

S&P 500 Tech

Avg. annual returns

24/06/2020 - 24/06/2025

+

19.88%

-

19.88%

Fund Provider

iShares

Management Charges

0.15%

Risk level

High risk

6 of 7

Category

Index Tracker

Region

United States of America

LifeStrategy 100%

Avg. annual returns

24/06/2020 - 24/06/2025

+

10.6%

-

10.6%

Fund Provider

Vanguard

Management Charges

0.22%

Risk level

High risk

5 of 7

Category

Ready-made

Region

Global

Adventurous ESG Fund

Avg. annual returns

25/06/2024 - 25/06/2025

+

11.4%

-

11.4%

Fund Provider

BlackRock

Management Charges

0.17%

Risk level

High risk

5 of 7

Category

Actively Managed

Region

Global

Physical Gold

Avg. annual returns

25/06/2020 - 25/06/2025

+

11.19%

-

11.19%

Fund Provider

Invesco

Management Charges

0.20%

Risk level

Medium risk

4 of 7

Category

Commodities

Region

Global

S&P 500

Avg. annual returns

25/06/2020 - 25/06/2025

+

14.19%

-

14.19%

Fund Provider

Vanguard

Management Charges

0.07%

Risk level

High risk

6 of 7

Category

Index Tracker

Region

United States of America

NASDAQ 100

Avg. annual returns

25/06/2020 - 25/06/2025

+

15.14%

-

15.14%

Fund Provider

iShares

Management Charges

0.30%

Risk level

High risk

6 of 7

Category

Index Tracker

Region

United States of America

FTSE 100

Avg. annual returns

25/06/2020 - 25/06/2025

+

10.81%

-

10.81%

Fund Provider

Vanguard

Management Charges

0.06%

Risk level

High risk

6 of 7

Category

Index Tracker

Region

United Kingdom

Clean Energy

Avg. annual returns

25/06/2020 - 25/06/2025

+

-0.37%

-

-0.37%

Fund Provider

iShares

Management Charges

0.65%

Risk level

High risk

7 of 7

Category

Thematic

Region

Global

Semiconductor Fund

Avg. annual returns

25/06/2022 - 25/06/2025

+

26.72%

-

26.72%

Fund Provider

VanEck

Management Charges

0.35%

Risk level

High risk

7 of 7

Category

Thematic

Region

Global

Space Innovators

Avg. annual returns

14/05/2024 - 14/05/2025

+

65.04%

-

65.04%

Fund Provider

VanEck

Management Charges

0.55%

Risk level

High risk

7 of 7

Category

Thematic

Region

Global

Europe ex-UK Fund

Avg. annual returns

25/06/2020 - 25/06/2025

+

10.05%

-

10.05%

Fund Provider

iShares

Management Charges

0.06%

Risk level

High risk

6 of 7

Category

Index Tracker

Region

Europe

Global Small Cap

Avg. annual returns

25/06/2020 - 25/06/2025

+

8.31%

-

8.31%

Fund Provider

Vanguard

Management Charges

0.29%

Risk level

High risk

6 of 7

Category

Index Tracker

Region

United Kingdom

FTSE All-World High Dividend

Avg. annual returns

25/06/2020 - 25/06/2025

+

11.57%

-

11.57%

Fund Provider

Vanguard

Management Charges

0.29%

Risk level

High risk

6 of 7

Category

Index Tracker

Region

United Kingdom

S&P 400 Mid-Cap

Avg. annual returns

25/06/2020 - 25/06/2025

+

10.62%

-

10.62%

Fund Provider

State Street

Management Charges

0.30%

Risk level

High risk

7 of 7

Category

Index Tracker

Region

United States of America

S&P 600 Small-Cap

Avg. annual returns

25/06/2020 - 25/06/2025

+

9.85%

-

9.85%

Fund Provider

iShares

Management Charges

0.30%

Risk level

High risk

7 of 7

Category

Index Tracker

Region

United States of America

China Fund

Avg. annual returns

24/06/2020 - 24/06/2025

+

20.67%

-

20.67%

Fund Provider

HSBC

Management Charges

0.28%

Risk level

High risk

7 of 7

Category

Index Tracker

Region

China

India Fund

Avg. annual returns

25/06/2020 - 25/06/2025

+

14.29%

-

14.29%

Fund Provider

iShares

Management Charges

0.65%

Risk level

High risk

6 of 7

Category

Index Tracker

Region

India

Japan Fund

Avg. annual returns

25/06/2020 - 25/06/2025

+

5.7%

-

5.7%

Fund Provider

iShares

Management Charges

0.08%

Risk level

High risk

6 of 7

Category

Index Tracker

Region

Japan

Asia Pacific ex-Japan Fund

Avg. annual returns

25/06/2020 - 25/06/2025

+

8.58%

-

8.58%

Fund Provider

iShares

Management Charges

0.13%

Risk level

High risk

6 of 7

Category

Index Tracker

Region

Asia-Pacific

Megatrends

Avg. annual returns

25/06/2024 - 25/06/2025

+

2.44%

-

2.44%

Fund Provider

WisdomTree

Management Charges

0.50%

Risk level

High risk

7 of 7

Category

Thematic

Region

Global

Physical Silver

Avg. annual returns

25/06/2020 - 25/06/2025

+

12.82%

-

12.82%

Fund Provider

Invesco

Management Charges

0.19%

Risk level

High risk

6 of 7

Category

Commodities

Region

Global

Automation & Robotics

Avg. annual returns

25/06/2020 - 25/06/2025

+

8.97%

-

8.97%

Fund Provider

iShares

Management Charges

0.40%

Risk level

High risk

7 of 7

Category

Thematic

Region

Global

FTSE Emerging Markets

Avg. annual returns

25/06/2020 - 25/06/2025

+

4.54%

-

4.54%

Fund Provider

Vanguard

Management Charges

0.22%

Risk level

High risk

6 of 7

Category

Index Tracker

Region

Emerging markets

FTSE Developed World

Avg. annual returns

25/06/2020 - 25/06/2025

+

11.66%

-

11.66%

Fund Provider

Vanguard

Management Charges

0.12%

Risk level

High risk

5 of 7

Category

Index Tracker

Region

Global

FTSE Global All Cap ESG

Avg. annual returns

08/05/2022 - 08/05/2025

+

7.93%

-

7.93%

Fund Provider

Vanguard

Management Charges

0.24%

Risk level

High risk

6 of 7

Category

Index Tracker

Region

Global

FTSE Global All Cap

Avg. annual returns

25/06/2020 - 25/06/2025

+

10.58%

-

10.58%

Fund Provider

Vanguard

Management Charges

0.23%

Risk level

High risk

5 of 7

Category

Index Tracker

Region

Global

Global Luxury

Avg. annual returns

25/06/2020 - 25/06/2025

+

8.7%

-

8.7%

Fund Provider

Amundi

Management Charges

0.25

Risk level

High risk

7 of 7

Category

Thematic

Region

Global

Healthcare Innovation

Avg. annual returns

25/06/2020 - 25/06/2025

+

-1.82%

-

-1.82%

Fund Provider

iShares

Management Charges

0.40%

Risk level

High risk

6 of 7

Category

Thematic

Region

Global

Emerging Markets Fund

Avg. annual returns

25/06/2020 - 25/06/2025

+

-0.09%

-

-0.09%

Fund Provider

BlackRock

Management Charges

0.95%

Risk level

High risk

6 of 7

Category

Thematic

Region

Emerging markets

Blockchain & Crypto

Avg. annual returns

25/06/2020 - 25/06/2025

+

18.25%

-

18.25%

Fund Provider

Invesco

Management Charges

0.65%

Risk level

High risk

7 of 7

Category

Thematic

Region

Global

AI Fund

Avg. annual returns

25/06/2020 - 25/06/2025

+

11.2%

-

11.2%

Fund Provider

WisdomTree

Management Charges

0.40%

Risk level

High risk

7 of 7

Category

Thematic

Region

Global

US Bond Fund

Avg. annual returns

25/06/2020 - 25/06/2025

+

-0.36%

-

-0.36%

Fund Provider

iShares

Management Charges

0.07%

Risk level

Low risk

2 of 7

Category

Bonds

Region

United States of America

UK Money Market Fund

Avg. annual returns

25/06/2020 - 25/06/2025

+

3.86%

-

3.86%

Fund Provider

BlackRock

Management Charges

0.13%

Risk level

Low risk

1 of 7

Category

Bonds

Region

United Kingdom

Balanced ESG Fund

Avg. annual returns

25/06/2022 - 25/06/2025

+

6.51%

-

6.51%

Fund Provider

BlackRock

Management Charges

0.17%

Risk level

High risk

5 of 7

Category

Actively Managed

Region

Global

Balanced Fund

Avg. annual returns

25/06/2020 - 25/06/2025

+

6.12%

-

6.12%

Fund Provider

BlackRock

Management Charges

0.17%

Risk level

High risk

5 of 7

Category

Actively Managed

Region

Global

Adventurous Fund

Avg. annual returns

25/06/2020 - 25/06/2025

+

8.49%

-

8.49%

Fund Provider

BlackRock

Management Charges

0.17%

Risk level

High risk

5 of 7

Category

Actively Managed

Region

Global

UK Large & Mid Cap

Avg. annual returns

25/06/2020 - 25/06/2025

+

11.57%

-

11.57%

Fund Provider

Legal & General

Management Charges

0.05%

Risk level

High risk

6 of 7

Category

Index Tracker

Region

United Kingdom

MSCI World

Avg. annual returns

25/06/2020 - 25/06/2025

+

11.91%

-

11.91%

Fund Provider

iShares

Management Charges

0.20%

Risk level

High risk

6 of 7

Category

Index Tracker

Region

Global

LifeStrategy 80%

Avg. annual returns

25/06/2020 - 25/06/2025

+

8.31%

-

8.31%

Fund Provider

Vanguard

Management Charges

0.22%

Risk level

High risk

5 of 7

Category

Ready-made

Region

Global

LifeStrategy 60%

Avg. annual returns

25/06/2020 - 25/06/2025

+

5.18%

-

5.18%

Fund Provider

Vanguard

Management Charges

0.22%

Risk level

Medium risk

4 of 7

Category

Ready-made

Region

Global

LifeStrategy 40%

Avg. annual returns

25/06/2020 - 25/06/2025

+

2.68%

-

2.68%

Fund Provider

Vanguard

Management Charges

0.22%

Risk level

Medium risk

4 of 7

Category

Ready-made

Region

Global

Cautious Fund

Avg. annual returns

25/06/2020 - 25/06/2025

+

4.37%

-

4.37%

Fund Provider

BlackRock

Management Charges

0.17%

Risk level

Medium risk

4 of 7

Category

Ready-made

Region

Global

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