Return to Homepage link
 

Fund prices and investment information

Fund prices

ex-Royal & SunAlliance / ex-Swiss Life (UK)

ex-Alba Life

ex-Britannic Unit Linked Assurance (BULA) originally sold through Britannic Assurance

ex-Britannic Unit Linked Assurance (BULA) originally sold through Allianz Cornhill Insurance

ex-Century Life

ex-Abbey National Life

ex-Britannic Unit Linked Assurance (BULA) sold through Resolution Asset Management

A quick guide to how we manage our with profits funds

A more detailed guide to our Principles and Practices of Financial Management and Reports

With profits important information leaflets and bonus information

ex-Abbey National Life Fund Prices

You can view our latest life and pension fund prices below. To be able to find your fund name easier you can press 'Control and F' on your keyboard then type in part, or all, of your fund name.

Important notes about the fund information:

  • Prices are quoted in pence (Sterling).  For example, 101 means one pound and one pence.
  • Stakeholder funds are priced to four decimal places; the other funds are priced to one.
  • The offer price is the value you pay for each unit.
  • The bid price is the value you get when you sell each unit.
  • The value of your units can go down as well as up.  Their value is not guaranteed.
  • Past performance is not necessarily a guide to future performance.
  • The prices are correct at the date shown in the table below.
  • If you’ve any questions you can contact us by following this link.

Fund name Valuation date
Bid price
Offer price
Priced
SEDOL code
Life Funds
Phoenix ANL Deposit-Life 19/08/08
178.8
188.3
Daily
24806
Phoenix ANL International-Life 19/08/08
190.8
200.9
Daily
24798
Phoenix ANL Managed-Life 19/08/08
222.9
234.7
Daily
24776
Phoenix ANL UK Equity-Life 19/08/08
255.1
268.6
Daily
24787
Phoenix Inscape Cautious Growth-Life 19/08/08
115.6
121.7
Daily
3097623
Phoenix Inscape Higher Growth-Life 19/08/08
124.7
131.3
Daily
3097593
Phoenix Inscape Steady Growth-Life 19/08/08
124.1
130.7
Daily
3097601
Pension Funds
Phoenix ANL Deposit-Pen 19/08/08
208.8
219.8
Daily
24884
Phoenix ANL International-Pen 19/08/08
192.2
202.4
Daily
24839
Phoenix ANL Managed-Pen 19/08/08
257.3
270.9
Daily
24817
Phoenix ANL Merrill Lynch-Pen 19/08/08
137.5
144.8
Daily
3095735
Phoenix ANL Newton Managed-Pen 19/08/08
144.5
152.1
Daily
3095746
Phoenix ANL UK Equity-Pen 19/08/08
293.1
308.6
Daily
24828
Phoenix Stakeholder Annuity Protector 19/08/08
117.1425
117.1425
Daily
B138LY8
Phoenix Stakeholder Annuity Protector Fund 2 19/08/08
158.4239
158.4239
Daily
B1NV192
Phoenix Stakeholder Deposit Fund 19/08/08
125.5961
125.5961
Daily
B138LR1
Phoenix Stakeholder Deposit Fund 2 19/08/08
158.2052
158.2052
Daily
B1NV1C5
Phoenix Stakeholder International Fund 2 19/08/08
140.5965
140.5965
Daily
B1NV1D6
Phoenix Stakeholder International-Pen 19/08/08
188.3807
188.3807
Daily
B138LS2
Phoenix Stakeholder Managed Fund 2 19/08/08
146.5765
146.5765
Daily
B1NV181
Phoenix Stakeholder Managed-Pen 19/08/08
256.2672
256.2672
Daily
B138LT3
Phoenix Stakeholder UK Equity Tracker-Pen 19/08/08
112.8123
112.8123
Daily
B138LW6
Phoenix Stakeholder UK Equity-Pen 19/08/08
293.8552
293.8552
Daily
B138LX7

Legal Terms and Conditions  |  Privacy  |  AccessiblityPlain English Crystal Mark image