Legal & General structured product valuations
Published below are the latest valuations for our range of structured products.
The valuation is normally calculated on the business day following 7th and 20th of each month (valuation date) and is based on £1 invested on the start date of your investment.
The valuation shows what your investment was worth on the last valuation date. If you choose to close your investment early, the amount you receive will be calculated at the next available valuation date, and there may be Costs & Charges associated with your instruction. Please see here for details of whether these Costs & Charges will apply to you.
The prices displayed here are correct as at 20 January 2020.
|STRUCTURED PRODUCT||CURRENT VALUATION (P)|
|L&G 6 Year Growth Deposit Bond 24||115.32|
This web site contains information on the products and services of the Legal & General group of companies only, unless otherwise stated.