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Life/Pension Fund Quickrank


Snapshot
Short Term
Performance
Portfolio
  Fund NameABI SectorMorningstar
Rating
Morningstar
Analyst Rating
(Underlying Fund)
YTD
Return
GBP
3 Yr
Anlsd
%
Abbey American Series 4 Life FundNorth America Equities ...Not Rated1.6516.17
Abbey Custodian Series 4 Life FundMixed Investment 20%-60...Not Rated3.095.92
Abbey Custodian Series 5 Life FundMixed Investment 20%-60...Not RatedNot Rated2.995.66
Aberdeen Life Diversified Growth B Life FundNot CategorisedNot RatedNot Rated4.787.20
Aberdeen Life Multi-Asset (ex Property) A Life FundMixed Investment 40%-85...Not RatedNot Rated5.677.70
Aberdeen Life Sterling Bond A Life FundSterling Fixed Interest...Not RatedNot Rated1.617.00
Aberdeen Life Sterling Credit Bond E Life FundSterling Corporate Bond...Not RatedNot Rated2.617.08
Aberdeen Life UK Property A Life FundUK Direct Property (Life)Not RatedNot Rated2.17-
Aberdeen Life UK Property B Life FundUK Direct Property (Life)Not RatedNot Rated2.05-
Aberdeen Life World Equity B Life FundGlobal Equities (Life)Not RatedNot Rated4.738.99
Aberdeen Life World Equity D Life FundGlobal Equities (Life)Not RatedNot Rated4.789.13
Aquila Connect Ccy H Gl Eq Idx (S2) Life FundNot CategorisedNot RatedNot Rated5.66-
Ascent Life Enhanced Global Equity Life FundNot CategorisedNot RatedNot Rated6.4316.42
Aviva 95% Yearly Floor S5 Life FundProtected/Guaranteed Fu...Not RatedNot Rated0.000.39
Aviva Aberdeen Asia Pacific Equity Inet Life FundAsia Pacific excl. Japa...8.937.35
Aviva Aberdeen Asia Pacific S4 Equity Life FundAsia Pacific excl. Japa...Not Rated9.549.27
Aviva Aberdeen World Equity Inet Life FundGlobal Equities (Life)4.146.78
Aviva Aberdeen World Equity S1 Life FundGlobal Equities (Life)Not Rated4.146.79
Aviva Aberdeen World Equity S3 Life FundGlobal Equities (Life)Not Rated3.986.26
Aviva Aberdeen World Equity S4 Life FundGlobal Equities (Life)Not Rated4.728.67
Total Results:
9049
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Fund prices are updated every weekday after the close of trading and before 11pm wherever possible. Performance figures are presented in British Sterling (GBP). Fund returns are based upon NAV to NAV or Bid to Bid on an income reinvested basis. UK-domiciled funds report after-tax dividends. Non-UK-domiciled funds report gross dividends. Pension funds report after-tax returns.