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Fund Prices

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Portfolio Holdings

Please click here to view the portfolio holdings

Please find below the daily prices on Friday 28 November 2008.

Active FundsClassCurrPriceVar
Asia Pacific Equity Fund1GBP92.320p9.020
Asia Pacific Equity FundBGBP70.940p6.940
Bond Fund1GBP134.980p-0.210
Bond FundBGBP238.920p-0.380
Bond FundDGBP241.520p-0.380
Cash FundAGBP194.960p0.030
Cash FundBGBP189.190p0.030
Cash FundDGBP190.840p0.030
Corporate Bond FundAGBP106.110p0.080
Corporate Bond FundDGBP107.230p0.080
Emerging Markets Equity Fund1GBP100.720p1.260
Emerging Markets Equity FundBGBP73.460p0.920
European Equity Growth Fund1GBP68.680p-0.520
European High Yield Bond Fund1GBP66.660p-0.340
European High Yield Bond FundFGBP60.750p-0.300
Global (Enhanced UK) Equity FundBGBP187.340p0.090
Global (Enhanced UK) Equity FundDGBP130.790p0.070
Global (Enhanced UK) Equity FundEGBP193.670p0.090
Global (Enhanced UK) Equity FundFGBP193.430p0.100
Global (ex UK) Equity Fund1GBP113.390p0.550
Global (ex UK) Equity FundAGBP172.400p0.830
Global (ex UK) Equity FundBGBP158.510p0.760
Global (ex UK) Equity FundEGBP163.530p0.780
Global (ex UK) Equity FundFGBP162.300p0.780
Global Growth Fund1GBP102.970p0.190
Global Growth FundEGBP117.140p0.220
Global Growth FundFGBP87.930p0.160
Index Linked Bond FundDGBP210.740p0.710
Japan Equity Growth Fund1GBP72.900p0.490
Long Dated Corporate Bond FundAGBP103.690p0.150
Long Dated Corporate Bond FundDGBP99.030p0.150
Managed Distribution Fund1GBP84.190p0.370
Multi-Asset (ex Property) Fund1GBP110.500p0.160
Multi-Asset (ex Property) FundBGBP171.400p0.260
Multi-Asset (ex Property) FundEGBP177.010p0.270
Multi-Asset (ex Property) FundFGBP175.300p0.260
Multi-Asset (inc Property) FundAGBP123.840p0.200
Multi-Asset (inc Property) FundEGBP99.700p0.160
Multi-Asset (inc Property) FundFGBP98.950p0.150
North American Equity Fund1GBP84.980p0.830
North American Equity FundAGBP66.080p0.650
North American Equity FundEGBP100.420p0.980
North American Equity FundFGBP88.170p0.860
North American Equity FundIGBP84.830p0.820
Pension Converter FundBGBP249.860p0.550
Pension Converter FundDGBP253.980p0.550
UK Equity Income Fund1GBP68.290p0.060
UK Equity Mid Cap Fund1GBP57.170p0.770
UK Growth Fund1GBP90.460p-0.160
UK Growth FundAGBP130.620p-0.220
UK Growth FundBGBP120.010p-0.210
UK Growth FundEGBP344.570p-0.600
UK Growth FundFGBP122.930p-0.220
UK Long Dated Sterling Bond Fund1GBP149.840p0.710
UK Long Dated Sterling Bond FundBGBP146.580p0.680
UK Long Dated Sterling Bond FundDGBP139.230p0.650
UK Opportunities FundAGBP106.660p0.030
UK Opportunities FundFGBP86.000p0.020
UK Property Fund†BGBP199.700p-4.900
UK Small Company Fund1GBP87.020p1.670
UK Small Company FundAGBP86.330p1.650
UK Small Company FundFGBP69.880p1.340
World Equity Fund1GBP86.620p0.190
World Equity FundFGBP77.530p0.160

Var = variance since last price.

† Aberdeen L&P Property Fund price last available price as at 10/11/2008

The price at which clients can actually buy or sell units in a fund is usually the mid-market price. However, in the event that clients make large sales or purchases of units in a fund, an adjustment for dilution recovery may be applied to the mid-market price to allow the fund to recoup the impact of dilution. Dilution occurs because of the dealing costs and market spread on underlying assets related to large client transactions. The adjusted price serves to prevent dilution of the value of the units held by continuing investors by apportioning the costs involved to those actually dealing on a particular day.

To find out whether a dilution adjustment has been triggered for a particular transaction please contact your Client Services Associate.

Investing in the funds will involve being exposed to those risks normally associated with investing in stocks and shares. The price of stocks and shares and the income from them can go down as well as up and is not guaranteed. You may not get back the amount you invested.

For notes (including risk warnings) specific to each fund, please refer to the factsheets. Please note that the attached factsheets are designed for use by professional investors and advisors. They are strictly for information purposes only and should not be considered an invitation to invest. The information should not form the basis of an investment decision. Private investors should seek professional advice.