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Phoenix SCP UK Blue Chip Pn

FE Crown Rating

Fund Objective

To aim for an above average total return of capital growth and reinvested income by investments made chiefly in a portfolio of major UK companies, primarily constituents of the FTSE 100 Share Index and other companies the Managers consider to be blue chip.

Fund Manager

Domicile

Sector

Currency

Primary Asset Class

Unit Name

Phoenix SCP UK Blue Chip Pn Acc

Inc/Acc

Accumulating 

Citicode

PF89

Initial Charge

n/a

Unit Currency

GBX 

ISIN

GB0007018426 

Annual Charge

n/a

Bid

GBX 387.80

Offer

GBX 412.60

Change (Offer)

0.20 (0.05%)
17-May-2013

Unit LaunchDate

01-Jun-1991

Unit Name

Phoenix SCP UK Blue Chip Pn Cap

Inc/Acc

Accumulating 

Citicode

PF91

Initial Charge

n/a

Unit Currency

GBX 

ISIN

GB0007018640 

Annual Charge

n/a

Bid

GBX 177.50

Offer

GBX 188.90

Change (Offer)

0.10 (0.05%)
17-May-2013

Unit LaunchDate

01-Jun-1991

Unit Name

Phoenix SCP UK Blue Chip Pn 2 Cap

Inc/Acc

Accumulating 

Citicode

PR62

Initial Charge

n/a

Unit Currency

GBX 

ISIN

GB0007957938 

Annual Charge

n/a

Bid

GBX 78.90

Offer

GBX 84.00

Change (Offer)

0.00 (0.00%)
17-May-2013

Unit LaunchDate

01-Jun-1991

Performance Overview

Performance Charts

Cumulative Performance

  YTD 3m 6m 1y 3y 5y
Fund 14.77 6.89 19.69 28.28 36.69 21.72
Sector 16.01 7.69 21.80 31.35 43.31 31.83
 

Discrete Performance (%)

  2012 2011 2010 2009 2008
Fund 9.74 -3.99 12.57 25.23 -28.86
Sector 15.44 -6.90 17.53 29.62 -31.66

Asset Allocation (estimated from fund's sector average)

breakdown chart
  Asset Class % of Fund
UK Equities 96.40
Money Market 3.60
Fixed Interest 0.01

Regional Breakdown

No breakdown data available.

Sector Breakdown

No breakdown data available.

All prices in Pence Sterling (GBX) unless otherwise specified. Price performance figures are calculated on a bid price to bid price basis with net income (dividends) reinvested. Performance figures are shown in Sterling.

 
 
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