Funds performance

fund namesort icon 1 mth 3 mth 12 mth ytd Inception Net assets Return Date
Allianz UK Corporate Bond A 0.14% 2.88% 0.67% 2.88% 5.29% 24486583 2014-03-31
Aviva Investors Asia Pacific Prpty I 2.61% 3.10% -9.67% 3.10% -0.61% 206300000 2014-03-31
Aviva Investors Asia Pacific Prpty I GBP 2.61% 3.10% -11.02% 3.10% 0.00% 206300000 2014-03-31
Aviva Investors European Property I£ Inc 0.24% -1.36% -1.66% -1.36% 0.00% 266700000 2014-03-31
Aviva Investors European Property I€ Acc -0.07% -0.89% 0.46% -0.89% 0.00% 323605773 2014-03-31
Aviva Investors European Property I€ Inc 0.43% 0.98% 3.48% 3.48% 0.00% 323605773 2013-12-31
Aviva Investors Glbl Bal Income I Acc 1.01% 2.08% 10.75% 2.08% 0.00% 83799290 2014-03-31
Aviva Investors Glbl Bal Income I Inc 1.02% 2.10% 10.78% 2.10% 0.00% 83799290 2014-03-31
Aviva Investors UK Equity Income 2 Acc -3.03% -0.36% 13.29% -0.36% 14.73% 971327200 2014-03-31
Aviva Investors UK Equity Income SC2 -3.03% -0.36% 13.33% -0.36% 8.51% 971327200 2014-03-31
Aviva Investors UK Equity Income SC3 Inc -2.99% -0.24% 13.94% -0.24% 6.20% 971327200 2014-03-31
Aviva Investors US Equity Income I USD 1.25% -0.04% 15.09% -0.04% 23.04% 118642586 2014-03-31
AXA Framlington American Growth Z Acc -2.88% -0.55% 13.00% -0.55% 9.66% 584381101 2014-03-31
AXA Framlington American Growth Z Inc -2.88% -0.55% 12.92% -0.55% 9.66% 584381101 2014-03-31
AXA Framlington Biotech GBP Z Acc -15.60% 0.92% 33.86% 0.92% 6.60% 313834800 2014-03-31
AXA Framlington Blue Chip Eq Inc Z £ Acc -2.18% 1.59% 14.14% 1.59% 17.75% 83789394 2014-03-31
AXA Framlington Blue Chip Eq Inc Z £ Inc -2.14% 1.63% 14.25% 1.63% 17.73% 83789394 2014-03-31
AXA Framlington EmerG Markets Z GBP Acc 1.50% -4.47% -14.71% -4.47% 6.95% 137958987 2014-03-31
AXA Framlington Emerg Markets Z GBP Inc 1.50% -4.47% -14.72% -4.47% 6.58% 137958987 2014-03-31
AXA Framlington Equity Income GBP Z Acc -3.01% 0.99% 18.84% 0.99% 6.37% 145901505 2014-03-31
AXA Framlington Equity Income GBP Z Inc -3.02% 1.01% 18.82% 1.01% 12.76% 145901505 2014-03-31
AXA Framlington European Z GBP Acc 0.20% 2.06% 16.27% 2.06% 9.85% 71733412 2014-03-31
AXA Framlington Financial Z GBP Acc 0.22% -0.81% 9.38% -0.81% 8.84% 43870802 2014-03-31
AXA Framlington Global Oppos Z GBP Acc -0.16% 0.16% 8.75% 0.16% 4.48% 58054498 2014-03-31
AXA Framlington Health Z GBP Acc -4.47% 3.74% 16.08% 3.74% 12.57% 355782232 2014-03-31
AXA Framlington Japan Z GBP Acc 0.54% -0.57% 12.50% -0.57% 3.28% 44847577 2014-03-31
AXA Framlington Managed Balanced Z Acc -1.26% 0.08% 8.01% 0.08% 8.97% 636004201 2014-03-31
AXA Framlington Managed Balanced Z Inc -1.30% 0.20% 8.06% 0.20% 9.27% 636004201 2014-03-31
AXA Framlington Managed Income Z GBP Acc 1.48% 3.46% 10.12% 3.46% 6.66% 115029634 2014-03-31
AXA Framlington Managed Income Z GBP Inc 1.51% 3.59% 10.57% 3.59% 6.88% 115029634 2014-03-31

Upcoming events

Upcoming training

Mon, 12/05/2014 (All day) - Dubai
Tue, 13/05/2014 (All day) - Dubai