Products and services

Standard Life Investments UK

Exceptional investments, extraordinary world

Funds and daily prices

Investment Funds Sort Descending

Video

Price

XD

Daily Change

Yield

Updated

AAA Income Acc

View fund manager video on this fund

66.22p

-

up

0.24p

0.36%

4.42%

25/07/2008

AAA Income CAT Acc

View fund manager video on this fund

66.30p

-

up

0.25p

0.38%

3.95%

25/07/2008

AAA Income CAT Inc

View fund manager video on this fund

48.04p

-

up

0.18p

0.38%

3.95%

25/07/2008

AAA Income Inc

View fund manager video on this fund

48.03p

-

up

0.17p

0.36%

4.42%

25/07/2008

American Equity Unconstrained

45.37p

-

down

-0.97p

-2.09%

0.00%

25/07/2008

Asian Pacific Growth

141.6p

-

up

1.80p

1.29%

1.14%

25/07/2008

118.5p

-

down

-1.70p

-1.41%

0%

25/07/2008

120.8p

-

down

-2.00p

-1.63%

0%

25/07/2008

56.87p

-

up

0.01p

0.02%

4.27%

25/07/2008

Corporate Bond Accumulation

93.55p

-

up

0.43p

0.46%

5.38%

25/07/2008

Corporate Bond Income

52.15p

-

up

0.24p

0.46%

5.38%

25/07/2008

Ethical Corporate Bond Acc Fund

49.10p

-

up

0.20p

0.41%

4.87%

25/07/2008

Ethical Corporate Bond Inc Fund

44.77p

-

up

0.19p

0.43%

4.87%

25/07/2008

European Equity Growth

96.79p

-

down

-0.77p

-0.79%

1.58%

25/07/2008

41.60p

-

down

-0.57p

-1.35%

1.53%

25/07/2008

Global Advantage Acc

85.90p

-

down

-0.83p

-0.96%

2.54%

25/07/2008

Global Advantage CAT Acc

63.21p

-

down

-0.61p

-0.96%

2.79%

25/07/2008

Global Advantage Inc

65.43p

-

down

-0.63p

-0.95%

2.54%

25/07/2008

Global Equity Unconstrained

52.89p

-

down

-0.99p

-1.84%

1.53%

25/07/2008

Global Index Linked Bond Fund Acc

126.3p

-

up

0.50p

0.40%

1.27%

25/07/2008

Global Index Linked Bond Fund Inc

120.8p

-

up

0.40p

0.33%

1.27%

25/07/2008

Global REIT Fund Acc

36.40p

-

down

-0.30p

-0.82%

2.50%

25/07/2008

Global REIT Fund Inc

35.36p

-

down

-0.29p

-0.81%

2.50%

25/07/2008

Higher Income Acc

71.38p

-

up

0.03p

0.04%

8.55%

25/07/2008

Higher Income Inc

41.97p

-

up

0.02p

0.05%

8.55%

25/07/2008

Japanese Equity Growth

51.10p

-

up

1.72p

3.48%

0.00%

25/07/2008

Managed Acc

110.7p

-

down

-1.10p

-0.98%

2.27%

25/07/2008

Select Income Fund Acc

56.12p

-

up

0.08p

0.14%

4.86%

25/07/2008

Select Income Fund Inc

45.32p

-

up

0.07p

0.16%

4.86%

25/07/2008

UK Equity Growth Acc

209.6p

-

down

-4.30p

-2.01%

1.99%

25/07/2008

UK Equity High Alpha Fund Acc

80.25p

-

down

-2.12p

-2.57%

2.19%

25/07/2008

UK Equity High Alpha Fund Inc

49.47p

-

down

-1.30p

-2.56%

2.19%

25/07/2008

UK Equity High Income Acc

View fund manager video on this fund

134.7p

-

down

-2.50p

-1.82%

4.21%

25/07/2008

UK Equity High Income Inc

View fund manager video on this fund

69.24p

-

down

-1.27p

-1.80%

4.21%

25/07/2008

UK Equity Income Unconstrained Fund Acc

35.16p

-

down

-0.74p

-2.06%

3.91%

25/07/2008

UK Equity Income Unconstrained Fund Inc

34.62p

-

down

-0.73p

-2.06%

3.91%

25/07/2008

UK Equity Unconstrained Fund

69.03p

-

down

-1.69p

-2.39%

4.05%

25/07/2008

UK Ethical Acc

70.61p

-

down

-1.48p

-2.05%

2.42%

25/07/2008

UK Gilt Acc

48.38p

-

up

0.26p

0.54%

3.48%

25/07/2008

UK Gilt Inc

34.66p

-

up

0.18p

0.52%

3.48%

25/07/2008

UK Opportunities Acc

121.2p

-

down

-2.80p

-2.26%

1.54%

25/07/2008

UK Opportunities Inc

117.0p

-

down

-2.60p

-2.17%

1.54%

25/07/2008

UK Smaller Companies Acc

194.1p

-

down

-3.30p

-1.67%

0.29%

25/07/2008

Unit Trust

Video

Price

XD

Daily Change

Yield

Updated

107.6p

-

up

0.60p

0.56%

3.82%

25/07/2008

62.74p

-

down

-0.02p

-0.03%

4.39%

01/08/2007

Dynamic Distribution Acc

49.74p

-

down

-0.41p

-0.82%

4.62%

25/07/2008

Dynamic Distribution Inc

46.53p

-

down

-0.39p

-0.83%

4.62%

25/07/2008

131.1p

-

down

-0.70p

-0.53%

3.25%

25/07/2008

115.9p

-

down

-0.50p

-0.43%

2.14%

25/07/2008

47.68p

-

up

0.11p

0.23%

0%

24/07/2008

124.5p

-

down

-1.80p

-1.42%

2.37%

25/07/2008

645.9p

-

up

0.40p

0.06%

2.62%

25/07/2008

20.58p

-

up

0.65p

3.26%

1.11%

25/07/2008

93.41p

-

down

-0.75p

-0.80%

3.00%

25/07/2008

78.82p

-

down

-1.45p

-1.81%

0.55%

25/07/2008

63.02p

-

up

0.78p

1.25%

1.98%

25/07/2008

88.37p

-

down

-1.11p

-1.24%

3.52%

25/07/2008

Select Property Fund Acc

View fund manager video on this fund

53.85p

-

down

-0.27p

-0.50%

3.40%

25/07/2008

Select Property Fund Inc

View fund manager video on this fund

50.73p

-

down

-0.26p

-0.51%

3.40%

25/07/2008

61.76p

-

up

1.57p

2.61%

0.85%

25/07/2008

105.1p

-

up

0.50p

0.48%

5.29%

25/07/2008

157.9p

-

down

-3.00p

-1.86%

3.88%

25/07/2008

89.72p

-

down

-1.71p

-1.87%

3.88%

25/07/2008

107.2p

-

up

0.50p

0.47%

3.86%

25/07/2008

124.1p

-

down

-0.50p

-0.40%

4.45%

25/07/2008

109.1p

-

none

0.00p

0.00%

5.20%

25/07/2008

Tracker Funds

Video

Price

XD

Daily Change

Yield

Updated

European Equity Index Tracker Fund

68.08p

-

down

-0.61p

-0.89%

2.00%

25/07/2008

Japanese Equity Index Tracker Fund

55.02p

-

up

1.62p

3.03%

2.00%

25/07/2008

Overseas Bond Index Tracker Fund

52.58p

-

up

0.55p

1.06%

4.50%

25/07/2008

Pacific Basin Equity Index Tracker Fund

81.67p

-

up

0.65p

0.80%

2.00%

25/07/2008

UK Gilt Index Tracker Fund

52.79p

-

up

0.26p

0.50%

4.50%

25/07/2008

US Equity Index Tracker Fund

51.41p

-

down

-0.83p

-1.59%

2.00%

25/07/2008

Manager of Managers

Video

Price

XD

Daily Change

Yield

Updated

Eurpn Eq MoM R

154.80p

-

up

0.20p

0.13%

0%

24/07/2008

Gbl Bd MoM R

93.05p

-

down

-3.98p

-4.10%

0%

07/11/2007

Japnse MoM R

104.10p

-

up

3.10p

3.07%

0%

24/07/2008

Nth Am MoM R

109.30p

-

up

1.30p

1.20%

0%

24/07/2008

Pac Basin MoM R

169.00p

-

up

2.30p

1.38%

0%

24/07/2008

UK Bd MoM R

104.40p

-

up

0.30p

0.29%

0%

24/07/2008

UK Eq MoM R

130.30p

-

down

-0.70p

-0.53%

0%

24/07/2008


About the prices

Investment Funds and Unit Trust

The price shown is the price at which units in each of the Investment Funds are both bought and sold on 25/07/2008. These prices are for information purposes only. For more information on the actual unit prices that will be used when a transaction is carried out please contact us.

XD
XD means that investors who held the shares before the XD date will be entitled to the forthcoming distribution. For Investment Funds and Cash Unit Trusts, holders of income shares will experience a drop in the price as the accrued income is removed to determine distribution rates.

Standard Life Investments Limited, tel. +44 131 225 2345, a company registered in Scotland (SC 123321) Registered Office 1 George Street Edinburgh EH2 2LL.
The Standard Life Investments group includes Standard Life Investments (Mutual Funds) Limited, SLTM Limited, Standard Life Investments (Corporate Funds) Limited and SL Capital Partners LLP. Standard Life Investments Limited acts as Investment Manager for Standard Life Assurance Limited and Standard Life Pension Funds Limited.
Standard Life Investments may record and monitor telephone calls to help improve customer service.
All companies are authorised and regulated in the UK by the Financial Services Authority.
©2008 Standard Life Investments.


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