Investment Bond daily prices
To find out the current Fund Management Charge that applies to each fund, please see the Funds key features in the ‘Key Documents’ section on the right of this page.
The prices displayed here were released on 24 January 2020.
|Fund Name||Selling Price (p)||Buying Price (p)|
|British Opps Accum||780.30||780.30|
|Building Society Linked Accum||283.30||283.30|
|Mixed Managed Accum||281.10||281.10|
|Distribution (Growth) Dist||126.40||126.40|
|Distribution (Growth) Accum||239.90||239.90|
|Far Eastern Accum||950.80||950.80|
|Fixed Interest Accum||1684.10||1684.10|
|Index Linked Gilt Accum||842.70||842.70|
|Managed Bond Dist||92.70||92.70|
|Managed Bond Accum||186.60||186.60|
|North American Accum||1799.80||1799.80|