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Aberdeen American Growth  
Fidelity American  
Schroder UK Mid 250  
M&G Recovery  
Jupiter Merlin UK Growth  
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5636 funds
Rank ChartFund Group Focus FE Risk Score What is FE Risk Score?Curr BidOffer1y 3y 5y  
2851[+]chartPhoenix SCP LTC Managed Growth RetPhoenix Life LimitedMixed Asset
82
GBX173.00182.305.222.660.9add to basket
2852[+]chartPhoenix SCP Managed Distribution RetPhoenix Life LimitedMixed Asset
41
GBX125.00131.605.919.249.1add to basket
2853[+]chartPhoenix SCP Managed GrowthPhoenix Life LimitedMixed Asset
78
GBX234.80249.805.322.159.6add to basket
2854[+]chartPhoenix SCP Managed RetPhoenix Life LimitedMixed Asset
78
GBX621.80654.605.422.259.9add to basket
2855[+]chartPhoenix SCP Money Market RetPhoenix Life LimitedMoney Market
0
GBX199.50210.000.00.00.0add to basket
2856[+]chartPhoenix SCP Monthly Managed RetPhoenix Life LimitedMixed Asset
41
GBX103.90109.406.020.052.1add to basket
2857[+]chartPhoenix SCP North American RetPhoenix Life LimitedEquity
94
GBX1,516.601,613.505.632.793.0add to basket
2858[+]chartPhoenix SCP Preference & Fixed Interest RetPhoenix Life LimitedFixed Interest
31
GBX359.10382.104.518.743.2add to basket
2859[+]chartPhoenix SCP Property RetPhoenix Life LimitedProperty
17
GBX670.30713.1010.513.241.0add to basket
2860[+]chartPhoenix SCP Recovery RetPhoenix Life LimitedEquity
88
GBX510.30542.903.927.977.4add to basket
2861[+]chartPhoenix SCP Technology RetPhoenix Life LimitedEquity
96
GBX2,174.502,313.309.624.977.6add to basket
2862[+]chartPhoenix SCP UK Blue Chip RetPhoenix Life LimitedEquity
100
GBX315.30335.504.024.470.2add to basket
2863[+]chartPhoenix SCP UK Mid Cap RetPhoenix Life LimitedEquity
109
GBX2,574.002,738.305.837.6115.3add to basket
2864[+]chartPhoenix SCP With Profits RetPhoenix Life LimitedWith Profits
1
GBX260.20273.903.39.616.3add to basket
2865[+]chartPhoenix SCP Worldwide Performance RetPhoenix Life LimitedEquity
106
GBX286.20301.305.924.466.7add to basket
2866[+]chartPhoenix SCP(K) Managed (0-35% shares) RetPhoenix Life LimitedMixed Asset
24
GBX349.80372.204.016.442.4add to basket
2867[+]chartPhoenix SCP(K) Managed (40-85% shares) RetPhoenix Life LimitedMixed Asset
78
GBX1,881.002,001.105.422.360.0add to basket
2868[+]chartPhoenix SCP(K) Managed (60-100% shares) RetPhoenix Life LimitedEquity
106
GBX538.10572.506.124.466.4add to basket
2869[+]chartPhoenix SM Artemis CapitalPhoenix Life LimitedEquity
129
GBX162.20170.807.644.4101.2add to basket
2870[+]chartPhoenix SM Artemis High IncomePhoenix Life LimitedMixed Asset
25
GBX185.50195.308.432.070.7add to basket
2871[+]chartPhoenix SM Artemis IncomePhoenix Life LimitedEquity
90
GBX220.10231.705.038.287.6add to basket
2872[+]chartPhoenix SM Artemis UK Smaller CompaniesPhoenix Life LimitedEquity
69
GBX258.40272.0013.438.0136.4add to basket
2873[+]chartPhoenix SM Artemis UK Special SituationsPhoenix Life LimitedEquity
99
GBX276.40291.007.233.882.4add to basket
2874[+]chartPhoenix SM AXA Framlington HealthPhoenix Life LimitedEquity
96
GBX164.80173.509.944.6110.7add to basket
2875[+]chartPhoenix SM AXA Framlington UK GrowthPhoenix Life LimitedEquity
101
GBX174.20183.407.328.986.7add to basket
2876[+]chartPhoenix SM CashPhoenix Life LimitedMoney Market
9
GBX282.90297.800.00.00.0add to basket
2877[+]chartPhoenix SM Cash PlusPhoenix Life LimitedMoney Market
1
GBX116.60122.800.01.83.6add to basket
2878[+]chartPhoenix SM Corporate BondPhoenix Life LimitedFixed Interest
31
GBX153.00161.104.618.937.8add to basket
2879[+]chartPhoenix SM EuropeanPhoenix Life LimitedEquity
119
GBX1,206.301,269.803.424.959.7add to basket
2880[+]chartPhoenix SM Far EasternPhoenix Life LimitedEquity
95
GBX932.30981.406.37.461.7add to basket
2881[+]chartPhoenix SM Fidelity AmericanPhoenix Life LimitedEquity
101
GBX160.40168.903.828.074.9add to basket
2882[+]chartPhoenix SM Fidelity Special SituationsPhoenix Life LimitedEquity
94
GBX257.90271.501.841.479.5add to basket
2883[+]chartPhoenix SM Fidelity WealthbuilderPhoenix Life LimitedEquity
85
GBX201.40212.002.523.167.1add to basket
2884[+]chartPhoenix SM First State Global Emerging MarketsPhoenix Life LimitedEquity
72
GBX412.20433.90-1.014.366.2add to basket
2885[+]chartPhoenix SM Gilts & Fixed InterestPhoenix Life LimitedFixed Interest
33
GBX537.00565.300.910.720.5add to basket
2886[+]chartPhoenix SM GrowthPhoenix Life LimitedMixed Asset
82
GBX587.40618.405.222.761.0add to basket
2887[+]chartPhoenix SM InternationalPhoenix Life LimitedEquity
116
GBX668.90704.206.223.362.9add to basket
2888[+]chartPhoenix SM Invesco Global BondPhoenix Life LimitedFixed Interest
26
GBX148.20156.00-4.45.617.6add to basket
2889[+]chartPhoenix SM Invesco High IncomePhoenix Life LimitedEquity
80
GBX276.00290.607.443.091.4add to basket
2890[+]chartPhoenix SM Invesco ManagedPhoenix Life LimitedMixed Asset
73
GBX220.50232.208.036.278.4add to basket
2891[+]chartPhoenix SM JapanesePhoenix Life LimitedEquity
133
GBX118.00124.30-7.411.131.5add to basket
2892[+]chartPhoenix SM Liontrust First IncomePhoenix Life LimitedEquity
98
GBX204.70215.503.633.489.0add to basket
2893[+]chartPhoenix SM Managed (0-35% shares)Phoenix Life LimitedMixed Asset
25
GBX563.20592.903.716.742.5add to basket
2894[+]chartPhoenix SM Morley Commercial PropertyPhoenix Life LimitedProperty
18
GBX112.80118.809.912.536.4add to basket
2895[+]chartPhoenix SM Newton Higher IncomePhoenix Life LimitedEquity
87
GBX228.00240.003.727.463.7add to basket
2896[+]chartPhoenix SM Newton IncomePhoenix Life LimitedEquity
112
GBX186.90196.800.420.357.1add to basket
2897[+]chartPhoenix SM Newton ManagedPhoenix Life LimitedMixed Asset
61
GBX191.50201.600.311.040.5add to basket
2898[+]chartPhoenix SM Newton OrientalPhoenix Life LimitedEquity
105
GBX242.20255.00-4.7-7.441.6add to basket
2899[+]chartPhoenix SM North AmericanPhoenix Life LimitedEquity
93
GBX915.60963.805.532.591.5add to basket
2900[+]chartPhoenix SM OpportunityPhoenix Life LimitedEquity
106
GBX521.80549.306.124.466.5add to basket
2901[+]chartPhoenix SM Schroder UK Mid 250Phoenix Life LimitedEquity
130
GBX318.50335.306.854.2117.7add to basket
2902[+]chartPhoenix SM Smoothed GrowthPhoenix Life LimitedMixed Asset
5
GBX180.10189.606.921.460.4add to basket
2903[+]chartPhoenix SM Smoothed IncomePhoenix Life LimitedMixed Asset
5
GBX151.00159.001.819.739.0add to basket
2904[+]chartPhoenix SM TechnologyPhoenix Life LimitedEquity
91
GBX125.60125.609.620.866.8add to basket
2905[+]chartPhoenix SM UK EquityPhoenix Life LimitedEquity
103
GBX720.70758.705.326.273.1add to basket
2906[+]chartPhoenix SM With ProfitsPhoenix Life LimitedWith Profits
1
GBX402.60423.803.09.416.2add to basket
2907[+]chartPhoenix UFC Balanced ManagedPhoenix Life LimitedMixed Asset
67
GBX489.21514.950.68.343.7add to basket
2908[+]chartPhoenix UK Leader S2Phoenix Life & PensionEquity
96
GBX363.20382.404.124.070.1add to basket
2909[+]chartPhoenix ULA PropertyPhoenix Life & PensionProperty
24
GBX798.80840.8013.413.244.1add to basket
2910[+]chartPhoenix ULA Shield ManagedPhoenix Life & PensionMixed Asset
61
GBX3,010.103,185.205.221.262.8add to basket
2911[+]chartPhoenix United StatesPhoenix Life & PensionEquity
109
GBX980.001,031.505.640.999.5add to basket
2912[+]chartPhoenix Unitised With Profits S8 S8Phoenix Life & PensionWith Profits
1
GBX167.80176.600.51.52.5add to basket
2913[+]chartPhoenix Wealth Assured S5Phoenix Life & PensionEquity
61
GBX2,199.202,315.005.221.062.2add to basket
2914[+]chartPhoenix With Profits Bond S2Phoenix Life & PensionWith Profits
1
GBX152.90152.900.51.52.5add to basket
2915[+]chartPhoenix Worldwide Bond S2Phoenix Life & PensionFixed Interest
50
GBX303.00319.00-7.3-3.110.2add to basket
2916[+]chartPru 0-35% Equity Managed Distribution S7 (Inc)Prudential Assurance CompanyMixed Asset
24
GBX93.700.003.517.147.5add to basket
2917[+]chartPru Aberdeen Japan Growth Equity S5Prudential Assurance CompanyEquity
101
GBX150.300.00-3.816.153.7add to basket
2918[+]chartPru Aberdeen Managed Portfolio S5Prudential Assurance CompanyMixed Asset
54
GBX172.800.000.815.154.7add to basket
2919[+]chartPru Aberdeen North American Equity S5Prudential Assurance CompanyEquity
76
GBX168.800.000.924.661.2add to basket
2920[+]chartPru Aberdeen UK Growth S5Prudential Assurance CompanyEquity
90
GBX182.100.000.322.581.2add to basket
2921[+]chartPru Adventurous Portfolio S5Prudential Assurance CompanyMixed Asset
62
GBX124.400.002.014.9n/aadd to basket
2922[+]chartPru Artemis European Growth S5Prudential Assurance CompanyEquity
136
GBX109.200.0010.327.368.0add to basket
2923[+]chartPru Artemis Global Growth S5Prudential Assurance CompanyEquity
85
GBX154.900.006.230.577.4add to basket
2924[+]chartPru Artemis High Income S5Prudential Assurance CompanyMixed Asset
24
GBX154.600.007.527.060.0add to basket
2925[+]chartPru Artemis Income S5Prudential Assurance CompanyEquity
78
GBX178.300.004.332.372.1add to basket
2926[+]chartPru Artemis Strategic Bond S5Prudential Assurance CompanyFixed Interest
20
GBX144.500.005.314.641.8add to basket
2927[+]chartPru Artemis UK Growth S5Prudential Assurance CompanyEquity
101
GBX188.300.005.328.680.9add to basket
2928[+]chartPru Artemis UK Smaller Companies S5Prudential Assurance CompanyEquity
61
GBX201.800.0010.429.7104.7add to basket
2929[+]chartPru Artemis UK Special Situations S5Prudential Assurance CompanyEquity
85
GBX180.600.006.926.664.2add to basket
2930[+]chartPru Aviva Property Trust S5Prudential Assurance CompanyProperty
52
GBX103.700.0013.314.3n/aadd to basket
2931[+]chartPru AXA Framlington Equity Income S5Prudential Assurance CompanyEquity
61
GBX161.200.0013.431.872.8add to basket
2932[+]chartPru AXA Framlington UK Select Opportunities S5Prudential Assurance CompanyEquity
98
GBX156.800.005.027.896.0add to basket
2933[+]chartPru Baillie Gifford American S5Prudential Assurance CompanyEquity
83
GBX154.900.000.327.781.2add to basket
2934[+]chartPru Baillie Gifford High Yield Bond S5Prudential Assurance CompanyFixed Interest
31
GBX132.600.007.323.6n/aadd to basket
2935[+]chartPru Balanced Income & Growth Bond Acc (ex M&G)Prudential Assurance CompanyMixed Asset
44
GBX122.90129.200.011.341.4add to basket
2936[+]chartPru Balanced Portfolio S5Prudential Assurance CompanyMixed Asset
49
GBX120.500.002.714.2n/aadd to basket
2937[+]chartPru BlackRock Gold & General S5Prudential Assurance CompanyCommodity/Energy
237
GBX95.400.002.8-50.8-27.6add to basket
2938[+]chartPru BlackRock UK Absolute Alpha S5Prudential Assurance CompanyEquity
48
GBX94.900.002.2-5.7-5.6add to basket
2939[+]chartPru BlackRock UK S5Prudential Assurance CompanyEquity
94
GBX146.400.000.915.544.8add to basket
2940[+]chartPru BlackRock UK Smaller Companies S5Prudential Assurance CompanyEquity
87
GBX204.800.004.428.1105.4add to basket
2941[+]chartPru BlackRock UK Special Situations S5Prudential Assurance CompanyEquity
91
GBX186.400.00-2.616.176.3add to basket
2942[+]chartPru Bonus Bond (exSA) S1Prudential Assurance CompanyEquity
104
GBX182.10191.705.126.569.7add to basket
2943[+]chartPru Capital Guarantee Bond (exSA) S1Prudential Assurance CompanyEquity
104
GBX313.60330.105.126.371.4add to basket
2944[+]chartPru Cash (exSA) S1Prudential Assurance CompanyMoney Market
0
GBX371.40390.900.00.00.0add to basket
2945[+]chartPru Cash Acc (ex M&G)Prudential Assurance CompanyMoney Market
1
GBX553.90581.70-0.7-1.9-3.1add to basket
2946[+]chartPru Cash S5Prudential Assurance CompanyMoney Market
3
GBX103.300.00-1.1-3.5-4.4add to basket
2947[+]chartPru Cautious Growth Portfolio S5Prudential Assurance CompanyMixed Asset
43
GBX118.800.003.314.0n/aadd to basket
2948[+]chartPru Cautious Managed Growth S5Prudential Assurance CompanyMixed Asset
40
GBX119.000.002.814.542.2add to basket
2949[+]chartPru Cautious Portfolio S5Prudential Assurance CompanyMixed Asset
33
GBX117.300.003.613.1n/aadd to basket
2950[+]chartPru CIS Sustainable Leaders S5Prudential Assurance CompanyEquity
89
GBX142.900.004.538.7n/aadd to basket
2951[+]chartPru Corporate Bond S5Prudential Assurance CompanyFixed Interest
33
GBX138.000.003.816.236.9add to basket
2952[+]chartPru Defensive Portfolio S5Prudential Assurance CompanyMixed Asset
26
GBX111.500.003.611.2n/aadd to basket
2953[+]chartPru Distribution (exSA) S1Prudential Assurance CompanyMixed Asset
53
GBX154.40162.504.925.763.6add to basket
2954[+]chartPru Distribution Bond S2Prudential Assurance CompanyMixed Asset
50
GBX127.50134.205.124.762.2add to basket
2955[+]chartPru Dividend Bond Acc (ex M&G)Prudential Assurance CompanyEquity
91
GBX127.30133.800.012.643.2add to basket
2956[+]chartPru Equity (exSA) S1Prudential Assurance CompanyEquity
89
GBX1,774.201,867.606.729.279.8add to basket
2957[+]chartPru Equity Bond Acc (ex M&G)Prudential Assurance CompanyEquity
87
GBX3,700.803,885.906.628.174.8add to basket
2958[+]chartPru Equity S5Prudential Assurance CompanyEquity
89
GBX158.500.005.826.773.0add to basket
2959[+]chartPru European (exSA) S1Prudential Assurance CompanyEquity
113
GBX433.10455.907.821.549.7add to basket
2960[+]chartPru European Bond Acc (ex M&G)Prudential Assurance CompanyEquity
103
GBX1,209.801,270.403.119.047.7add to basket
2961[+]chartPru European S5Prudential Assurance CompanyEquity
112
GBX162.300.006.819.344.7add to basket
2962[+]chartPru European Tracker S5Prudential Assurance CompanyEquity
114
GBX182.300.006.115.845.3add to basket
2963[+]chartPru Extra Income Bond Acc (ex M&G)Prudential Assurance CompanyMixed Asset
65
GBX3,126.703,283.108.136.985.8add to basket
2964[+]chartPru Fidelity European S5Prudential Assurance CompanyEquity
96
GBX145.600.002.016.443.9add to basket
2965[+]chartPru Fidelity MoneyBuilder Income S5Prudential Assurance CompanyFixed Interest
30
GBX115.200.003.413.8n/aadd to basket
2966[+]chartPru Fidelity South East Asia S5Prudential Assurance CompanyEquity
105
GBX182.900.002.8-2.537.0add to basket
2967[+]chartPru First State Asia Pacific Leaders S5Prudential Assurance CompanyEquity
79
GBX189.300.002.011.855.3add to basket
2968[+]chartPru Fixed Interest S5Prudential Assurance CompanyFixed Interest
37
GBX136.500.000.26.015.4add to basket
2969[+]chartPru FP Caerus Portfolio DRP 1 S2Prudential Assurance CompanyMixed Asset
38
GBX103.10108.501.6n/an/aadd to basket
2970[+]chartPru FP Caerus Portfolio DRP 2 S2Prudential Assurance CompanyMixed Asset
60
GBX113.20119.202.7n/an/aadd to basket
2971[+]chartPru FP Caerus Portfolio DRP 3 S2Prudential Assurance CompanyMixed Asset
76
GBX114.20120.203.1n/an/aadd to basket
2972[+]chartPru FP Caerus Portfolio DRP 4 S2Prudential Assurance CompanyMixed Asset
93
GBX103.00108.40-0.4n/an/aadd to basket
2973[+]chartPru FP Verbatim Portfolio 3 S5Prudential Assurance CompanyMixed Asset
20
GBX105.000.001.3n/an/aadd to basket
2974[+]chartPru FP Verbatim Portfolio 4 S5Prudential Assurance CompanyMixed Asset
33
GBX109.700.001.9n/an/aadd to basket
2975[+]chartPru FP Verbatim Portfolio 5 Growth S5Prudential Assurance CompanyMixed Asset
44
GBX113.300.002.1n/an/aadd to basket
2976[+]chartPru FP Verbatim Portfolio 5 Income S5Prudential Assurance CompanyMixed Asset
47
GBX117.900.003.9n/an/aadd to basket
2977[+]chartPru FP Verbatim Portfolio 6 S5Prudential Assurance CompanyMixed Asset
58
GBX112.400.000.4n/an/aadd to basket
2978[+]chartPru FP Verbatim Portfolio 7 S5Prudential Assurance CompanyMixed Asset
62
GBX116.200.000.9n/an/aadd to basket
2979[+]chartPru GLG Japan CoreAlpha S5Prudential Assurance CompanyEquity
124
GBX108.700.00-5.310.9n/aadd to basket
2980[+]chartPru Global Emerging Markets Portfolio S2Prudential Assurance CompanyEquity
n/a
GBX96.30101.40n/an/an/aadd to basket
2981[+]chartPru HC Sequel Global Opportunities S2Prudential Assurance CompanyMixed Asset
65
GBX122.40128.904.3n/an/aadd to basket
2982[+]chartPru HC Sequel Monthly Income S2Prudential Assurance CompanyMixed Asset
25
GBX107.70113.402.4n/an/aadd to basket
2983[+]chartPru Henderson Cautious Managed S5Prudential Assurance CompanyMixed Asset
43
GBX143.600.004.122.845.1add to basket
2984[+]chartPru Henderson China Opportunities S5Prudential Assurance CompanyEquity
128
GBX166.800.006.2-2.025.4add to basket
2985[+]chartPru Henderson European Growth S5Prudential Assurance CompanyEquity
94
GBX148.700.001.822.064.5add to basket
2986[+]chartPru Henderson European Selected Opportunities S5Prudential Assurance CompanyEquity
105
GBX172.400.006.126.857.3add to basket
2987[+]chartPru Henderson Preference and Bond S5Prudential Assurance CompanyFixed Interest
23
GBX140.800.006.814.946.5add to basket
2988[+]chartPru High Yield Distribution Acc (ex M&G)Prudential Assurance CompanyEquity
83
GBX488.20512.800.115.344.7add to basket
2989[+]chartPru Index Linked Gilt (exSA) S1Prudential Assurance CompanyFixed Interest
57
GBX561.10590.701.915.636.3add to basket
2990[+]chartPru International (exSA) S1Prudential Assurance CompanyEquity
82
GBX1,065.001,121.105.529.377.7add to basket
2991[+]chartPru International Bond Acc (ex M&G)Prudential Assurance CompanyEquity
83
GBX2,450.602,573.20-1.117.458.9add to basket
2992[+]chartPru International S5Prudential Assurance CompanyEquity
80
GBX158.900.004.724.265.7add to basket
2993[+]chartPru Invesco Perpetual Corporate Bond S5Prudential Assurance CompanyFixed Interest
21
GBX128.200.004.115.135.2add to basket
2994[+]chartPru Invesco Perpetual Distribution S5Prudential Assurance CompanyMixed Asset
32
GBX161.200.004.623.655.7add to basket
2995[+]chartPru Invesco Perpetual Global Bond S5Prudential Assurance CompanyFixed Interest
27
GBX118.800.00-4.74.315.1add to basket
2996[+]chartPru Invesco Perpetual High Income S5Prudential Assurance CompanyEquity
66
GBX171.600.006.737.577.6add to basket
2997[+]chartPru Invesco Perpetual Income S5Prudential Assurance CompanyEquity
68
GBX314.200.007.140.886.0add to basket
2998[+]chartPru Invesco Perpetual Managed Growth (exSA) S1Prudential Assurance CompanyEquity
73
GBX254.90268.305.830.273.2add to basket
2999[+]chartPru Invesco Perpetual Managed Growth S5Prudential Assurance CompanyEquity
74
GBX183.500.004.927.569.3add to basket
3000[+]chartPru Invesco Perpetual Monthly Income Plus S5Prudential Assurance CompanyMixed Asset
26
GBX161.600.005.119.855.8add 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.
 
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