Your Basket
Your Basket
There are no funds in your basket. To add funds to your basket use the Green Plus Icon wherever you see it next to a fund.
Fund name
Aberdeen American Growth  
Fidelity American  
Schroder UK Mid 250  
M&G Recovery  
Jupiter Merlin UK Growth  
Close Basket Open basket

Login

Login

Register

It's look like you're leaving us

What would you like us to do with the funds you've selected

Show me all my options Forget them Save them
Customise this table
 
 
Poll

Have you been allocating more to cash or equities, given signs of rising risks?

Cash
Equities

Vote

 
You are here: Prices & Performance
 
Search
 
    
Go
Create a custom tab
5647 funds
Rank ChartFund Group Focus FE Risk Score What is FE Risk Score?Curr BidOffer1y 3y 5y  
2851[+]chartPhoenix SCP Index Linked RetPhoenix Life LimitedFixed Interest
51
GBX488.40514.207.215.833.9add to basket
2852[+]chartPhoenix SCP International RetPhoenix Life LimitedEquity
114
GBX723.10769.3010.546.747.4add to basket
2853[+]chartPhoenix SCP LTC Managed Growth RetPhoenix Life LimitedMixed Asset
85
GBX177.00186.609.140.648.9add to basket
2854[+]chartPhoenix SCP Managed Distribution RetPhoenix Life LimitedMixed Asset
43
GBX126.60133.309.328.640.9add to basket
2855[+]chartPhoenix SCP Managed GrowthPhoenix Life LimitedMixed Asset
81
GBX240.10255.509.139.248.2add to basket
2856[+]chartPhoenix SCP Managed RetPhoenix Life LimitedMixed Asset
81
GBX635.90669.409.239.348.4add to basket
2857[+]chartPhoenix SCP Money Market RetPhoenix Life LimitedMoney Market
0
GBX199.50210.000.00.00.1add to basket
2858[+]chartPhoenix SCP Monthly Managed RetPhoenix Life LimitedMixed Asset
42
GBX105.40111.009.329.344.7add to basket
2859[+]chartPhoenix SCP North American RetPhoenix Life LimitedEquity
97
GBX1,570.901,671.2012.758.984.9add to basket
2860[+]chartPhoenix SCP Preference & Fixed Interest RetPhoenix Life LimitedFixed Interest
32
GBX366.50389.907.420.536.9add to basket
2861[+]chartPhoenix SCP Property RetPhoenix Life LimitedProperty
23
GBX682.30725.9011.915.642.5add to basket
2862[+]chartPhoenix SCP Recovery RetPhoenix Life LimitedEquity
86
GBX519.80553.006.850.557.3add to basket
2863[+]chartPhoenix SCP Technology RetPhoenix Life LimitedEquity
98
GBX2,251.102,394.8015.852.673.2add to basket
2864[+]chartPhoenix SCP UK Blue Chip RetPhoenix Life LimitedEquity
103
GBX321.60342.207.843.956.1add to basket
2865[+]chartPhoenix SCP UK Mid Cap RetPhoenix Life LimitedEquity
110
GBX2,628.502,796.308.565.190.8add to basket
2866[+]chartPhoenix SCP With Profits RetPhoenix Life LimitedWith Profits
2
GBX261.30275.103.49.816.5add to basket
2867[+]chartPhoenix SCP Worldwide Performance RetPhoenix Life LimitedEquity
110
GBX292.90308.4010.347.952.3add to basket
2868[+]chartPhoenix SCP(K) Managed (0-35% shares) RetPhoenix Life LimitedMixed Asset
25
GBX356.70379.506.720.735.6add to basket
2869[+]chartPhoenix SCP(K) Managed (40-85% shares) RetPhoenix Life LimitedMixed Asset
81
GBX1,923.502,046.309.239.348.5add to basket
2870[+]chartPhoenix SCP(K) Managed (60-100% shares) RetPhoenix Life LimitedEquity
109
GBX550.60585.8010.547.952.0add to basket
2871[+]chartPhoenix SM Artemis CapitalPhoenix Life LimitedEquity
134
GBX165.30174.0011.770.984.7add to basket
2872[+]chartPhoenix SM Artemis High IncomePhoenix Life LimitedFixed Interest
25
GBX187.10197.009.238.160.6add to basket
2873[+]chartPhoenix SM Artemis IncomePhoenix Life LimitedEquity
93
GBX225.30237.208.857.374.8add to basket
2874[+]chartPhoenix SM Artemis UK Smaller CompaniesPhoenix Life LimitedEquity
68
GBX262.30276.2012.156.2124.0add to basket
2875[+]chartPhoenix SM Artemis UK Special SituationsPhoenix Life LimitedEquity
99
GBX284.10299.108.957.574.4add to basket
2876[+]chartPhoenix SM AXA Framlington HealthPhoenix Life LimitedEquity
99
GBX173.30182.5017.773.5104.1add to basket
2877[+]chartPhoenix SM AXA Framlington UK GrowthPhoenix Life LimitedEquity
102
GBX178.60188.0011.154.470.7add to basket
2878[+]chartPhoenix SM CashPhoenix Life LimitedMoney Market
9
GBX282.90297.800.00.00.0add to basket
2879[+]chartPhoenix SM Cash PlusPhoenix Life LimitedMoney Market
1
GBX116.60122.800.01.73.5add to basket
2880[+]chartPhoenix SM Corporate BondPhoenix Life LimitedFixed Interest
32
GBX156.10164.407.420.633.0add to basket
2881[+]chartPhoenix SM EuropeanPhoenix Life LimitedEquity
123
GBX1,227.401,292.005.654.642.7add to basket
2882[+]chartPhoenix SM Far EasternPhoenix Life LimitedEquity
96
GBX976.401,027.8013.827.059.8add to basket
2883[+]chartPhoenix SM Fidelity AmericanPhoenix Life LimitedEquity
103
GBX165.00173.7010.753.368.5add to basket
2884[+]chartPhoenix SM Fidelity Special SituationsPhoenix Life LimitedEquity
92
GBX263.60277.504.270.054.3add to basket
2885[+]chartPhoenix SM Fidelity WealthbuilderPhoenix Life LimitedEquity
87
GBX206.40217.309.046.357.0add to basket
2886[+]chartPhoenix SM First State Global Emerging MarketsPhoenix Life LimitedEquity
73
GBX425.80448.307.828.260.7add to basket
2887[+]chartPhoenix SM Gilts & Fixed InterestPhoenix Life LimitedFixed Interest
35
GBX549.00577.904.59.619.3add to basket
2888[+]chartPhoenix SM GrowthPhoenix Life LimitedMixed Asset
85
GBX600.90632.609.140.749.0add to basket
2889[+]chartPhoenix SM InternationalPhoenix Life LimitedEquity
119
GBX685.60721.7011.047.747.3add to basket
2890[+]chartPhoenix SM Invesco Global BondPhoenix Life LimitedFixed Interest
27
GBX150.50158.50-1.75.815.1add to basket
2891[+]chartPhoenix SM Invesco High IncomePhoenix Life LimitedEquity
84
GBX282.10297.0011.958.083.7add to basket
2892[+]chartPhoenix SM Invesco ManagedPhoenix Life LimitedMixed Asset
80
GBX224.20236.0011.352.967.7add to basket
2893[+]chartPhoenix SM JapanesePhoenix Life LimitedEquity
137
GBX120.20126.602.027.523.3add to basket
2894[+]chartPhoenix SM Liontrust First IncomePhoenix Life LimitedEquity
101
GBX208.70219.706.047.772.2add to basket
2895[+]chartPhoenix SM Managed (0-35% shares)Phoenix Life LimitedMixed Asset
26
GBX574.50604.806.421.035.5add to basket
2896[+]chartPhoenix SM Morley Commercial PropertyPhoenix Life LimitedProperty
19
GBX114.60120.7011.714.337.9add to basket
2897[+]chartPhoenix SM Newton Higher IncomePhoenix Life LimitedEquity
91
GBX232.30244.608.044.152.8add to basket
2898[+]chartPhoenix SM Newton IncomePhoenix Life LimitedEquity
118
GBX197.30207.708.447.956.1add to basket
2899[+]chartPhoenix SM Newton ManagedPhoenix Life LimitedMixed Asset
65
GBX196.00206.404.122.236.0add to basket
2900[+]chartPhoenix SM Newton OrientalPhoenix Life LimitedEquity
110
GBX252.70266.006.88.439.2add to basket
2901[+]chartPhoenix SM North AmericanPhoenix Life LimitedEquity
97
GBX948.50998.5012.658.783.6add to basket
2902[+]chartPhoenix SM OpportunityPhoenix Life LimitedEquity
109
GBX533.90562.0010.447.852.1add to basket
2903[+]chartPhoenix SM Schroder UK Mid 250Phoenix Life LimitedEquity
132
GBX332.20349.709.991.898.3add to basket
2904[+]chartPhoenix SM Smoothed GrowthPhoenix Life LimitedMixed Asset
5
GBX181.20190.806.422.359.5add to basket
2905[+]chartPhoenix SM Smoothed IncomePhoenix Life LimitedMixed Asset
5
GBX151.90159.902.219.438.8add to basket
2906[+]chartPhoenix SM TechnologyPhoenix Life LimitedEquity
94
GBX129.90129.9015.646.362.8add to basket
2907[+]chartPhoenix SM UK EquityPhoenix Life LimitedEquity
107
GBX737.60776.509.049.160.3add to basket
2908[+]chartPhoenix SM With ProfitsPhoenix Life LimitedWith Profits
1
GBX403.90425.203.19.516.2add to basket
2909[+]chartPhoenix UFC Balanced ManagedPhoenix Life LimitedMixed Asset
68
GBX498.17524.384.822.734.8add to basket
2910[+]chartPhoenix UK Leader S2Phoenix Life & PensionEquity
95
GBX370.30389.808.440.857.6add to basket
2911[+]chartPhoenix ULA PropertyPhoenix Life & PensionProperty
29
GBX816.10859.0015.215.045.3add to basket
2912[+]chartPhoenix ULA Shield ManagedPhoenix Life & PensionMixed Asset
62
GBX3,063.003,241.208.736.851.0add to basket
2913[+]chartPhoenix United StatesPhoenix Life & PensionEquity
116
GBX1,024.201,078.0015.069.090.2add to basket
2914[+]chartPhoenix Unitised With Profits S8 S8Phoenix Life & PensionWith Profits
1
GBX167.90176.700.51.52.5add to basket
2915[+]chartPhoenix Wealth Assured S5Phoenix Life & PensionEquity
62
GBX2,238.102,355.908.736.550.5add to basket
2916[+]chartPhoenix With Profits Bond S2Phoenix Life & PensionWith Profits
2
GBX153.00153.000.51.52.5add to basket
2917[+]chartPhoenix Worldwide Bond S2Phoenix Life & PensionFixed Interest
49
GBX309.40325.70-4.1-3.88.2add to basket
2918[+]chartPru 0-35% Equity Managed Distribution S7 (Inc)Prudential Assurance CompanyMixed Asset
24
GBX93.200.005.620.539.5add to basket
2919[+]chartPru Aberdeen Japan Growth Equity S5Prudential Assurance CompanyEquity
105
GBX151.100.002.228.841.6add to basket
2920[+]chartPru Aberdeen Managed Portfolio S5Prudential Assurance CompanyMixed Asset
56
GBX176.000.004.725.744.1add to basket
2921[+]chartPru Aberdeen North American Equity S5Prudential Assurance CompanyEquity
80
GBX172.800.007.745.253.7add to basket
2922[+]chartPru Aberdeen UK Growth S5Prudential Assurance CompanyEquity
93
GBX184.400.003.439.163.3add to basket
2923[+]chartPru Adventurous Portfolio S5Prudential Assurance CompanyMixed Asset
62
GBX127.000.006.729.3n/aadd to basket
2924[+]chartPru Artemis European Growth S5Prudential Assurance CompanyEquity
148
GBX109.900.0011.757.050.1add to basket
2925[+]chartPru Artemis Global Growth S5Prudential Assurance CompanyEquity
89
GBX159.700.0013.353.373.6add to basket
2926[+]chartPru Artemis High Income S5Prudential Assurance CompanyFixed Interest
24
GBX155.500.007.933.650.7add to basket
2927[+]chartPru Artemis Income S5Prudential Assurance CompanyEquity
80
GBX182.000.007.649.162.2add to basket
2928[+]chartPru Artemis Strategic Bond S5Prudential Assurance CompanyFixed Interest
20
GBX145.100.005.819.734.9add to basket
2929[+]chartPru Artemis UK Growth S5Prudential Assurance CompanyEquity
102
GBX192.700.008.150.976.0add to basket
2930[+]chartPru Artemis UK Smaller Companies S5Prudential Assurance CompanyEquity
59
GBX204.700.009.646.395.9add to basket
2931[+]chartPru Artemis UK Special Situations S5Prudential Assurance CompanyEquity
85
GBX184.700.007.145.558.0add to basket
2932[+]chartPru Aviva Property Trust S5Prudential Assurance CompanyProperty
51
GBX104.900.0014.815.8n/aadd to basket
2933[+]chartPru AXA Framlington Equity Income S5Prudential Assurance CompanyEquity
61
GBX163.000.0011.243.956.7add to basket
2934[+]chartPru AXA Framlington UK Select Opportunities S5Prudential Assurance CompanyEquity
101
GBX161.200.008.446.482.6add to basket
2935[+]chartPru Baillie Gifford American S5Prudential Assurance CompanyEquity
86
GBX157.600.005.946.972.4add to basket
2936[+]chartPru Baillie Gifford High Yield Bond S5Prudential Assurance CompanyFixed Interest
31
GBX132.800.007.131.0n/aadd to basket
2937[+]chartPru Balanced Income & Growth Bond Acc (ex M&G)Prudential Assurance CompanyMixed Asset
46
GBX124.10130.401.919.132.9add to basket
2938[+]chartPru Balanced Portfolio S5Prudential Assurance CompanyMixed Asset
49
GBX123.100.007.226.9n/aadd to basket
2939[+]chartPru BlackRock Gold & General S5Prudential Assurance CompanyCommodity/Energy
235
GBX95.900.00-8.5-50.0-27.1add to basket
2940[+]chartPru BlackRock UK Absolute Alpha S5Prudential Assurance CompanyEquity
50
GBX98.300.006.62.6-3.0add to basket
2941[+]chartPru BlackRock UK S5Prudential Assurance CompanyEquity
97
GBX150.600.006.637.937.9add to basket
2942[+]chartPru BlackRock UK Smaller Companies S5Prudential Assurance CompanyEquity
89
GBX211.600.006.651.196.1add to basket
2943[+]chartPru BlackRock UK Special Situations S5Prudential Assurance CompanyEquity
95
GBX191.500.001.235.365.8add to basket
2944[+]chartPru Bonus Bond (exSA) S1Prudential Assurance CompanyEquity
107
GBX184.20193.906.845.656.5add to basket
2945[+]chartPru Capital Guarantee Bond (exSA) S1Prudential Assurance CompanyEquity
106
GBX317.30334.006.745.556.8add to basket
2946[+]chartPru Cash (exSA) S1Prudential Assurance CompanyMoney Market
0
GBX371.40390.900.00.00.0add to basket
2947[+]chartPru Cash Acc (ex M&G)Prudential Assurance CompanyMoney Market
1
GBX553.50581.30-0.7-1.9-3.1add to basket
2948[+]chartPru Cash S5Prudential Assurance CompanyMoney Market
3
GBX103.100.00-1.2-3.6-5.0add to basket
2949[+]chartPru Cautious Growth Portfolio S5Prudential Assurance CompanyMixed Asset
43
GBX120.800.006.624.4n/aadd to basket
2950[+]chartPru Cautious Managed Growth S5Prudential Assurance CompanyMixed Asset
40
GBX120.800.005.425.135.7add to basket
2951[+]chartPru Cautious Portfolio S5Prudential Assurance CompanyMixed Asset
33
GBX118.500.005.921.2n/aadd to basket
2952[+]chartPru CIS Sustainable Leaders S5Prudential Assurance CompanyEquity
92
GBX146.000.008.359.4n/aadd to basket
2953[+]chartPru Corporate Bond S5Prudential Assurance CompanyFixed Interest
33
GBX140.300.006.116.930.9add to basket
2954[+]chartPru Defensive Portfolio S5Prudential Assurance CompanyMixed Asset
26
GBX112.900.005.516.2n/aadd to basket
2955[+]chartPru Distribution (exSA) S1Prudential Assurance CompanyMixed Asset
55
GBX157.80166.107.534.855.5add to basket
2956[+]chartPru Distribution Bond S2Prudential Assurance CompanyMixed Asset
52
GBX127.00133.607.733.652.6add to basket
2957[+]chartPru Dividend Bond Acc (ex M&G)Prudential Assurance CompanyEquity
96
GBX128.40134.901.630.632.5add to basket
2958[+]chartPru Equity (exSA) S1Prudential Assurance CompanyEquity
89
GBX1,788.101,882.208.548.663.0add to basket
2959[+]chartPru Equity Bond Acc (ex M&G)Prudential Assurance CompanyEquity
87
GBX3,729.003,915.508.545.158.6add to basket
2960[+]chartPru Equity S5Prudential Assurance CompanyEquity
89
GBX159.600.007.645.856.8add to basket
2961[+]chartPru European (exSA) S1Prudential Assurance CompanyEquity
115
GBX436.80459.808.344.634.6add to basket
2962[+]chartPru European Bond Acc (ex M&G)Prudential Assurance CompanyEquity
108
GBX1,215.701,276.603.639.833.8add to basket
2963[+]chartPru European S5Prudential Assurance CompanyEquity
115
GBX163.600.007.541.930.0add to basket
2964[+]chartPru European Tracker S5Prudential Assurance CompanyEquity
117
GBX185.000.007.339.829.6add to basket
2965[+]chartPru Extra Income Bond Acc (ex M&G)Prudential Assurance CompanyMixed Asset
66
GBX3,167.303,325.8011.750.072.2add to basket
2966[+]chartPru Fidelity European S5Prudential Assurance CompanyEquity
98
GBX147.500.004.335.836.8add to basket
2967[+]chartPru Fidelity MoneyBuilder Income S5Prudential Assurance CompanyFixed Interest
31
GBX117.200.006.115.0n/aadd to basket
2968[+]chartPru Fidelity South East Asia S5Prudential Assurance CompanyEquity
104
GBX189.700.009.116.538.9add to basket
2969[+]chartPru First State Asia Pacific Leaders S5Prudential Assurance CompanyEquity
83
GBX200.700.0012.528.657.3add to basket
2970[+]chartPru Fixed Interest S5Prudential Assurance CompanyFixed Interest
37
GBX139.300.003.94.913.8add to basket
2971[+]chartPru FP Multi-Asset DRP III S2Prudential Assurance CompanyMixed Asset
39
GBX105.30110.805.9n/an/aadd to basket
2972[+]chartPru FP Multi-Asset DRP V S2Prudential Assurance CompanyMixed Asset
61
GBX115.90122.007.7n/an/aadd to basket
2973[+]chartPru FP Multi-Asset DRP VII S2Prudential Assurance CompanyMixed Asset
79
GBX116.50122.707.8n/an/aadd to basket
2974[+]chartPru FP Multi-Asset DRP VIII S2Prudential Assurance CompanyMixed Asset
96
GBX106.00111.607.1n/an/aadd to basket
2975[+]chartPru FP Verbatim Portfolio 3 S5Prudential Assurance CompanyMixed Asset
22
GBX106.300.003.4n/an/aadd to basket
2976[+]chartPru FP Verbatim Portfolio 4 S5Prudential Assurance CompanyMixed Asset
35
GBX111.500.005.2n/an/aadd to basket
2977[+]chartPru FP Verbatim Portfolio 5 Growth S5Prudential Assurance CompanyMixed Asset
46
GBX115.800.006.3n/an/aadd to basket
2978[+]chartPru FP Verbatim Portfolio 5 Income S5Prudential Assurance CompanyMixed Asset
48
GBX119.900.007.7n/an/aadd to basket
2979[+]chartPru FP Verbatim Portfolio 6 S5Prudential Assurance CompanyMixed Asset
60
GBX115.500.005.3n/an/aadd to basket
2980[+]chartPru FP Verbatim Portfolio 7 S5Prudential Assurance CompanyMixed Asset
65
GBX118.900.006.3n/an/aadd to basket
2981[+]chartPru GLG Japan CoreAlpha S5Prudential Assurance CompanyEquity
126
GBX109.600.001.626.1n/aadd to basket
2982[+]chartPru Global Emerging Markets Portfolio S2Prudential Assurance CompanyEquity
n/a
GBX100.20105.50n/an/an/aadd to basket
2983[+]chartPru HC Sequel Global Opportunities S2Prudential Assurance CompanyMixed Asset
69
GBX125.00131.509.6n/an/aadd to basket
2984[+]chartPru HC Sequel Monthly Income S2Prudential Assurance CompanyMixed Asset
26
GBX109.50115.305.3n/an/aadd to basket
2985[+]chartPru Henderson Cautious Managed S5Prudential Assurance CompanyMixed Asset
43
GBX145.400.005.731.239.7add to basket
2986[+]chartPru Henderson China Opportunities S5Prudential Assurance CompanyEquity
129
GBX177.200.0010.819.534.0add to basket
2987[+]chartPru Henderson European Growth S5Prudential Assurance CompanyEquity
98
GBX149.500.004.040.951.3add to basket
2988[+]chartPru Henderson European Selected Opportunities S5Prudential Assurance CompanyEquity
108
GBX175.400.009.148.144.7add to basket
2989[+]chartPru Henderson Preference and Bond S5Prudential Assurance CompanyFixed Interest
22
GBX141.300.007.720.938.5add to basket
2990[+]chartPru High Yield Distribution Acc (ex M&G)Prudential Assurance CompanyEquity
89
GBX494.00518.802.127.535.4add to basket
2991[+]chartPru Index Linked Gilt (exSA) S1Prudential Assurance CompanyFixed Interest
57
GBX584.10614.907.417.937.8add to basket
2992[+]chartPru International (exSA) S1Prudential Assurance CompanyEquity
84
GBX1,091.901,149.4010.954.064.5add to basket
2993[+]chartPru International Bond Acc (ex M&G)Prudential Assurance CompanyEquity
87
GBX2,480.102,604.202.233.745.2add to basket
2994[+]chartPru International S5Prudential Assurance CompanyEquity
83
GBX162.700.0010.045.853.1add to basket
2995[+]chartPru Invesco Perpetual Corporate Bond S5Prudential Assurance CompanyFixed Interest
20
GBX128.900.004.719.229.2add to basket
2996[+]chartPru Invesco Perpetual Distribution S5Prudential Assurance CompanyMixed Asset
32
GBX162.000.005.432.047.5add to basket
2997[+]chartPru Invesco Perpetual Global Bond S5Prudential Assurance CompanyFixed Interest
28
GBX120.600.00-2.04.412.5add to basket
2998[+]chartPru Invesco Perpetual High Income S5Prudential Assurance CompanyEquity
69
GBX174.900.0010.650.372.1add to basket
2999[+]chartPru Invesco Perpetual Income S5Prudential Assurance CompanyEquity
71
GBX320.300.0010.855.177.9add to basket
3000[+]chartPru Invesco Perpetual Managed Growth (exSA) S1Prudential Assurance CompanyEquity
77
GBX262.20276.0010.947.163.5add to basket
All prices in Pence Sterling (GBX) unless otherwise specified. Price performance figures are calculated on a bid price to bid price basis and shown in Sterling with net income (dividends) reinvested. Performance figures are shown in Sterling unless otherwise specified.
 
  • Stay connected with FE trustnet
  • Authorised and Regulated by the
    Financial Conduct Authority
  • © Trustnet Limited . All Rights Reserved.
  • Please read our Terms of Use / Disclaimer
    and Privacy and Cookie Policy.
  • Data supplied in conjunction with Thomson Financial Limited,
    London Stock Exchange Plc, StructuredRetailProducts.com
    and ManorPark.com