Investment Bond - Life Distribution (Growth) Fund (launched 30 June 2003)

A distribution rate is declared on 30 May and 30 November each year. The distribution rates are as follows:

Distribution date Declared rate as pence per unit*
30/05/2008 2.50
30/11/2007 2.65
30/05/2007 2.45
30/11/2006 2.50
30/05/2006 2.30
30/11/2005 2.40
30/05/2005 2.25
30/11/2004 2.05
30/05/2004 2.00
30/11/2003 1.37

How to calculate income

The number of units held in this fund will be shown on the investor's Policy Schedule. To calculate the amount of income due on a given distribution date, simply multiply the number of units held by the 'distribution pence per unit' on the given date. For example, an investor may hold 20,000 distributor units in the Distribution (Growth) Fund and a distribution of 2.00p per unit will give - 20,000 x 0.0200p = £400.00 which will be used to provide a natural income.

 

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