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Scottish Life: A division of Royal London

Consumer  >  Investment for Consumers  >  Fund Information  >  Life fund prices & movements

Life fund prices & movements

Requested Price Date:      Search

INSURANCE FUNDS  Price Date:  8 September 2008
These are the most recent prices available


Daily movement is the comparison of Prices between 8 September 2008 and 5 September 2008

Please note that not all funds are available for all products. If you are a policyholder, please contact your financial adviser for further information about our funds.

LIFE FUNDS

Bid Price

Offer Price

DAILY MOVT

American

382.50

402.70

-6.50

Defensive Managed

171.70

180.80

-0.40

Deposit

318.20

335.00

+0.10

European

1,134.60

1,194.40

-33.00

Fixed Interest

485.30

510.90

+2.80

Global Managed

445.50

469.00

-8.50

Index Linked

444.90

468.40

+1.80

Managed

560.90

590.50

-11.50

Pacific

458.30

482.50

-2.00

Property

510.60

537.50

0.00

UK Equity

755.60

795.40

-26.30

Worldwide

129.60

136.50

-2.70

FTSE 350 Managed

Unavailable

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FTSE 350 Tracker

Unavailable

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Legal Disclaimer

© Scottish Life, St Andrew House, 1 Thistle Street, Edinburgh, EH2 1DG.
Scottish Life is a division of Royal London and markets products produced by Royal London. Royal London consists of The Royal London Mutual Insurance Society Limited and its subsidiaries. The Royal London Mutual Insurance Society Limited provides life and pension products, is a member of the Association of British Insurers and is authorised and regulated by the Financial Services Authority, registration number 117672. Royal London Marketing Limited acts as an insurance intermediary for general insurance products and is authorised and regulated by the Financial Services Authority, registration number 302391.