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Name | Price | Price Date | Daily Change (%) |
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Name | ESMA Volatility Rating 1 - 7 | Volatility (%) | Annual Management Charge |
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Name | YTD | 1yr | 3yrs | 5yrs | 7yrs | Since launch | Launch Date |
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Name | Factsheets | SID | Fund Updates | Charting Tool and Historic Prices | |
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There are trading restrictions on some Cash and Property funds. For more information, see Products and funds trading (PDF 139KB).
The prices are guides only for the date shown and are rounded. The price used for a transaction will depend on the date and the time of your request.
Performance is net of the Annual Management Charge. Performance figures reflect Price Date, as shown on the “Price” tab. Performance figures are calculated daily by FE fundinfo.
Some products are open to new investments, including top ups. Other products may be open to top ups only, or closed. For more information, see Products and funds trading (PDF 139KB).
We don’t publish unit prices for any of our with profits funds. On its own, the price is unlikely to provide a full and fair view of what a with profits investment is worth. For information, see our guides to with profits.
Cookies collected by FE fundinfo on Fund Centre include Google Analytics cookies, which are used to help Standard Life measure how you interact with this tool and record information about what pages and links you have clicked on.
All cookies collected are anonymous. To disable Google Analytics cookies on Fund Centre, visit https://tools.google.com/dlpage/gaoptout.
For a full list of cookies collected by Standard Life, please read our Cookie Policy.
All information contained in Fund Centre is compiled and sourced by FE fundinfo (UK) Limited, with the exception of the following, which is provided by Standard Life: Product, Fund name, AMC, Launch Date, Volatility Rating, Factsheets, Supplementary Investment Documents, Fund Updates. Neither the Phoenix Group nor any of its subsidiaries and associated companies (including Standard Life International dac) give any warranty or representation or accept any liability or responsibility for the completeness or accuracy of this information () or any use to which Fund Centre and the information on it may be put. Fund Centre and the information on it are intended to provide general investment research and analysis only. You use Fund Centre and the information on it at your own risk.
Nothing in connection with Fund Centre and the information on it constitutes financial or tax advice from the Phoenix Group.
The Phoenix Group reserve the right to change the content, presentation, performance, facilities and availability of all or part of Fund Centre at its sole discretion and without prior notice. The Phoenix Group make no warranty or representation that Fund Centre can be accessed at all times. Fund Centre may be temporarily unavailable or restricted for administrative or other reasons. The Phoenix Group will not be liable for any loss or damage arising out of or in connection with the use of Fund Centre.
The Phoenix Group accept no responsibility for information contained on any other sites that can be accessed by hypertext link from Fund Centre or by Fund Centre not being accessible at all times. The links to any other sites are provided for general information purposes only and the sites concerned and their contents are not endorsed or promoted by the Phoenix Group in any way, unless otherwise stated.
© FE fundinfo (UK) Limited 2020. All rights reserved. The compilation of data contained herein is the copyright of FE fundinfo. Whilst reasonable care has been taken in the compilation of the data it is not warranted to be accurate or complete and has been drawn by FE fundinfo from sources which are also not warranted to be accurate and complete.
Higher volatility ratings typically mean greater potential investment returns over the longer term. But high volatility funds can suddenly fall or rise in value.
Volatility ratings are regularly reviewed and the ratings may change over time.
Important information
The volatility rating is not the only factor you should consider when selecting a fund. If you’re not sure which funds to choose, please seek advice from a financial adviser.
There are trading restrictions on some Cash and Property funds. For more information, see Products and funds trading (PDF 139KB).
The prices are guides only for the date shown and are rounded. The price used for a transaction will depend on the date and the time of your request.
Performance is net of the Annual Management Charge. Performance figures reflect Price Date, as shown on the “Price” tab. Performance figures are calculated daily by FE fundinfo.
Some products are open to new investments, including top ups. Other products may be open to top ups only, or closed. For more information, see Products and funds trading (PDF 139KB).
We don’t publish unit prices for any of our with profits funds. On its own, the price is unlikely to provide a full and fair view of what a with profits investment is worth. For information, see our guides to with profits.
Cookies collected by FE fundinfo on Fund Centre include Google Analytics cookies, which are used to help Standard Life measure how you interact with this tool and record information about what pages and links you have clicked on.
All cookies collected are anonymous. To disable Google Analytics cookies on Fund Centre, visit https://tools.google.com/dlpage/gaoptout.
For a full list of cookies collected by Standard Life, please read our Cookie Policy.
All information contained in Fund Centre is compiled and sourced by FE fundinfo (UK) Limited, with the exception of the following, which is provided by Standard Life: Product, Fund name, AMC, Launch Date, Volatility Rating, Factsheets, Supplementary Investment Documents, Fund Updates. Neither the Phoenix Group nor any of its subsidiaries and associated companies (including Standard Life International dac) give any warranty or representation or accept any liability or responsibility for the completeness or accuracy of this information () or any use to which Fund Centre and the information on it may be put. Fund Centre and the information on it are intended to provide general investment research and analysis only. You use Fund Centre and the information on it at your own risk.
Nothing in connection with Fund Centre and the information on it constitutes financial or tax advice from the Phoenix Group.
The Phoenix Group reserve the right to change the content, presentation, performance, facilities and availability of all or part of Fund Centre at its sole discretion and without prior notice. The Phoenix Group make no warranty or representation that Fund Centre can be accessed at all times. Fund Centre may be temporarily unavailable or restricted for administrative or other reasons. The Phoenix Group will not be liable for any loss or damage arising out of or in connection with the use of Fund Centre.
The Phoenix Group accept no responsibility for information contained on any other sites that can be accessed by hypertext link from Fund Centre or by Fund Centre not being accessible at all times. The links to any other sites are provided for general information purposes only and the sites concerned and their contents are not endorsed or promoted by the Phoenix Group in any way, unless otherwise stated.
© FE fundinfo (UK) Limited 2020. All rights reserved. The compilation of data contained herein is the copyright of FE fundinfo. Whilst reasonable care has been taken in the compilation of the data it is not warranted to be accurate or complete and has been drawn by FE fundinfo from sources which are also not warranted to be accurate and complete.