Aberdeen ASI UK Equity Enhanced Index A Acc NAV |
138.27p |
-1.78% |
12.84% |
18.51% |
|
|
Aberdeen ASI UK Equity L Acc NAV |
132.17p |
-0.11% |
4.42% |
7.13% |
|
|
Aberdeen ASI UK Equity L Dis NAV |
118.87p |
-0.12% |
2.70% |
3.16% |
|
|
Aberdeen ASI UK Equity M Acc NAV |
118.55p |
-0.19% |
4.12% |
6.17% |
|
|
Aberdeen ASI UK Equity M Dis NAV |
113.26p |
-0.19% |
2.67% |
3.10% |
|
|
Aberdeen ASI UK High Income Equity Instl A GBP Dis Unhedged |
46.58p |
-3.90% |
-3.76% |
30.22% |
|
|
Aberdeen ASI UK High Income Equity Instl GBP Acc Unhedged NAV |
285.10p |
-7.64% |
-2.56% |
35.83% |
n |
y |
Aberdeen ASI UK High Income Equity Instl GBP Dis Unhedged NAV |
74.93p |
-10.37% |
-6.99% |
19.41% |
n |
y |
Aberdeen ASI UK High Income Equity Instl S GBP Acc Unhedged NAV |
73.59p |
0.26% |
2.42% |
33.41% |
|
|
Aberdeen ASI UK High Income Equity Instl S GBP Dis Unhedged NAV |
49.69p |
0.26% |
-2.17% |
18.08% |
|
|
Aberdeen ASI UK High Income Equity Platform 1 GBP Acc Unhgd NAV |
90.78p |
-7.64% |
-2.61% |
35.63% |
|
|
Aberdeen ASI UK High Income Equity Platform 1 GBP Dis Unhgd NAV |
55.93p |
-10.38% |
-7.05% |
19.23% |
|
|
Aberdeen ASI UK High Income Equity Retail GBP Acc Unhedged NAV |
247.90p |
-7.74% |
-3.01% |
33.93% |
n |
y |
Aberdeen ASI UK High Income Equity Retail GBP Dis Unhedged NAV |
65.11p |
-10.48% |
-7.42% |
17.74% |
n |
y |
Aberdeen ASI UK Income Equity A Acc NAV |
1,500.43p |
-3.84% |
4.08% |
0.34% |
n |
n |
Aberdeen ASI UK Income Equity A Dis NAV |
363.57p |
-3.83% |
0.28% |
-11.03% |
n |
n |
Aberdeen ASI UK Income Equity I Acc NAV |
1,697.29p |
-3.73% |
4.55% |
1.70% |
n |
n |
Aberdeen ASI UK Income Equity I Dis NAV |
413.65p |
-3.73% |
0.73% |
-9.82% |
n |
n |
Aberdeen ASI UK Income Equity M Acc NAV |
136.53p |
-0.28% |
8.73% |
2.12% |
|
|
Aberdeen ASI UK Income Equity M Dis NAV |
110.37p |
-0.28% |
4.75% |
-9.45% |
|
|
Aberdeen ASI UK Income Unconstrained Equity Instl GBP Acc NAV |
89.95p |
1.51% |
4.79% |
-3.44% |
|
n |
Aberdeen ASI UK Income Unconstrained Equity Instl GBP Dis NAV |
39.84p |
1.50% |
-1.46% |
-19.56% |
|
n |
Aberdeen ASI UK Income Unconstrained Equity Platform 1 GBP NAV |
103.50p |
1.37% |
4.48% |
-4.17% |
|
|
Aberdeen ASI UK Income Unconstrained Equity Retail GBP Acc NAV |
74.56p |
1.18% |
4.95% |
-3.92% |
|
y |
Aberdeen ASI UK Income Unconstrained Equity Retail GBP Dis NAV |
34.85p |
1.37% |
-2.00% |
-21.53% |
|
y |
Aberdeen ASI UK Mid-Cap Equity M Acc NAV |
108.98p |
0.01% |
14.81% |
-34.35% |
|
|
Aberdeen ASI UK Mid-Cap Equity M Dis NAV |
101.46p |
0.01% |
12.57% |
-37.50% |
|
|
Aberdeen ASI UK Recovery Equity Retail GBP Acc Unhedged NAV |
107.00p |
-0.65% |
-41.91% |
-55.95% |
|
y |
Aberdeen ASI UK Responsible Equity M Acc NAV |
140.23p |
0.83% |
15.41% |
-6.24% |
|
|
Aberdeen ASI UK Responsible Equity M Dis NAV |
127.93p |
0.84% |
13.23% |
-11.31% |
|
|
Aberdeen Life UK Equity Income 1 Acc |
129.19p |
8.86% |
20.09% |
44.25% |
n |
n |
Aberdeen Life UK Equity Mid Cap 1 Acc |
131.12p |
13.30% |
25.61% |
55.95% |
n |
n |
Aberdeen UK Equity Income Fund A NET ACC NAV |
102.70p |
-2.00% |
1.61% |
34.26% |
n |
y |
Aberdeen UK Equity Income Z Acc NAV |
1,444.91p |
-1.49% |
2.09% |
26.84% |
n |
n |
Aberdeen UK EquityIncome Fund A NET INC NAV |
212.80p |
-1.95% |
-2.04% |
19.74% |
n |
y |
Adam & Co UK Equity Index S7 Inc NAV |
1,316.00p |
-1.10% |
2.36% |
42.02% |
n |
y |
Adam & Co UK Equity Index S8 Inc NAV |
1,449.00p |
-1.10% |
3.89% |
50.81% |
n |
y |
Aegon UK Equity Income B Acc NAV |
303.37p |
3.05% |
0.00% |
0.00% |
|
|
Aegon UK Equity Income B Inc NAV |
179.20p |
1.08% |
0.00% |
0.00% |
|
|
Alliance Trust UK Equity Income A Acc |
122.60p |
-5.47% |
25.27% |
0.00% |
|
y |
Alliance Trust UK Equity Income A Inc |
95.90p |
8.38% |
0.00% |
0.00% |
|
|
Alliance Trust UK Equity Income B Acc |
149.70p |
10.24% |
0.00% |
0.00% |
|
|
Alliance Trust UK Equity Income B Inc |
862.14p |
8.85% |
0.00% |
0.00% |
|
|
Allianz Global UK Equity Income A GBP Dis NAV |
319.11p |
-5.39% |
6.75% |
-4.15% |
n |
y |
Allianz Global UK Equity Income C GBP Dis NAV |
120.90p |
-5.23% |
7.46% |
-2.22% |
|
|
Artemis Income E GBP Dis NAV |
112.55p |
-2.33% |
12.74% |
10.30% |
|
|
Artemis Income I Acc NAV |
675.71p |
-0.51% |
16.94% |
23.74% |
|
|
Artemis Income I Dis NAV |
271.81p |
5.66% |
6.61% |
11.48% |
|
|
Artemis Income I Inc NAV |
277.64p |
-2.37% |
12.57% |
9.80% |
|
|
Artemis Income R Acc NAV |
597.03p |
-0.70% |
16.07% |
20.98% |
n |
y |
Artemis Income R Dis NAV |
241.91p |
-2.55% |
11.73% |
7.34% |
n |
y |
Aviva Investors UK Equity Income 3 Acc NAV |
448.82p |
-2.94% |
12.13% |
11.62% |
|
|
Aviva Investors UK Equity Income 4 Acc NAV |
166.48p |
-2.71% |
3.28% |
29.41% |
|
|
Aviva Investors UK Equity Income 4 Inc NAV |
134.40p |
-2.71% |
-1.13% |
14.28% |
|
|
Aviva Investors UK Equity Income A NAV |
126.25p |
-2.68% |
-1.47% |
12.72% |
n |
y |
Aviva Investors UK Income Opportunities SC1 Acc |
199.95p |
0.00% |
10.23% |
-1.58% |
|
|
Aviva Investors UK Income Opportunities SC1 Inc |
149.58p |
0.00% |
4.11% |
-15.08% |
|
|
Aviva Investors UK Income Opportunities SC2 |
154.10p |
0.00% |
4.97% |
-12.97% |
n |
y |
Aviva Investors UK Income Opportunities SC3 |
5.11p |
0.00% |
5.54% |
-11.46% |
n |
y |
Aviva Investors UK Listed Equity Income 1 Inc NAV |
91.68p |
-5.30% |
6.87% |
-4.90% |
n |
y |
Aviva Investors UK Listed Equity Income 2 GBP NAV |
149.52p |
-5.26% |
7.06% |
-4.36% |
n |
y |
Aviva Investors UK Listed Equity Income 3 GBP NAV |
215.25p |
-5.06% |
7.92% |
-2.34% |
n |
y |
AXA Framlington Equity Income R Acc NAV |
1,788.50p |
3.53% |
-2.26% |
35.60% |
n |
y |
AXA Framlington Equity Income R Dis NAV |
573.60p |
3.51% |
-6.13% |
19.65% |
n |
y |
AXA Framlington Monthly Income R Acc NAV |
713.50p |
1.84% |
10.77% |
0.08% |
n |
y |
AXA Framlington Monthly Income R Dis NAV |
214.80p |
-0.69% |
3.87% |
-15.03% |
n |
y |
AXA Framlington Monthly Income Z Acc NAV |
235.30p |
1.99% |
11.57% |
2.35% |
|
|
AXA Framlington Monthly Income Z Dis NAV |
131.10p |
-0.53% |
4.13% |
-13.52% |
|
|
AXA Framlington UK Equity Income A Unit Trust Acc NAV |
169.60p |
-4.07% |
8.09% |
15.69% |
|
|
AXA Framlington UK Equity Income R Acc NAV |
356.90p |
-4.29% |
7.14% |
12.80% |
|
y |
AXA Framlington UK Equity Income R Dis NAV |
189.60p |
-5.06% |
2.99% |
-0.47% |
|
y |
AXA Framlington UK Equity Income Unit Trust A Inc NAV |
112.70p |
-4.65% |
3.97% |
2.27% |
|
|
AXA Framlington UK Equity Income Z Acc NAV |
233.80p |
-4.10% |
7.89% |
15.17% |
|
|
AXA Framlington UK Equity Income Z Inc NAV |
137.10p |
-4.66% |
3.86% |
1.86% |
|
|
AXA UK Equity Income Acc I NAV |
114.40p |
-3.05% |
-28.94% |
-27.64% |
n |
y |
AXA UK Equity Income Acc R NAV |
108.40p |
-3.39% |
-30.15% |
-29.56% |
n |
y |
AXA UK Equity Income Inc I NAV |
76.38p |
-4.12% |
-33.18% |
-37.29% |
n |
y |
AXA UK Equity Income Inc R NAV |
73.01p |
-4.45% |
-33.69% |
-38.39% |
n |
y |
Baillie Gifford Income C Inc |
1,244.00p |
2.30% |
9.12% |
8.08% |
n |
- |
Baillie Gifford UK Equity Alpha G Acc NAV |
803.50p |
-9.86% |
-13.06% |
12.74% |
|
|
Baillie Gifford UK Equity Core C Acc NAV |
124.40p |
-0.32% |
12.89% |
0.65% |
|
|
Baillie Gifford UK Equity Focus B Acc NAV |
116.50p |
-18.02% |
-17.90% |
10.01% |
|
|
Baillie Gifford UK Equity Focus C Acc NAV |
119.10p |
-17.92% |
-17.52% |
11.52% |
|
|
Barclays UK Equity Income A Acc NAV NAV |
954.20p |
-2.22% |
11.35% |
14.99% |
|
|
Barclays UK Equity Income A Dis NAV |
404.20p |
-3.46% |
5.92% |
-0.76% |
|
|
BlackRock Acs UK Equity Tracker X1 GBP Acc |
136.62p |
-2.17% |
10.42% |
14.31% |
|
|
BlackRock ACS UK Equity Tracker X1A GBP Acc |
334.00p |
8.90% |
-7.45% |
15.97% |
|
|
BlackRock Charities UK Equity A GBP Acc |
2,698.71p |
-2.03% |
9.34% |
15.55% |
|
|
BlackRock Charities UK Equity A GBP Dis |
743.32p |
-2.85% |
5.66% |
4.22% |
|
|
BlackRock Charities UK Equity ESG A GBP Acc |
512.20p |
1.10% |
1.72% |
19.44% |
|
|
BlackRock Charities UK Equity ESG A GBP Dis |
223.92p |
0.28% |
-1.59% |
8.30% |
|
|
BlackRock Charities UK Equity Index A GBP Acc |
3,426.04p |
-1.85% |
11.66% |
17.81% |
|
|
BlackRock Charities UK Equity Index A GBP Dis |
1,513.72p |
-2.69% |
7.80% |
5.74% |
|
|
BlackRock Charities UK Equity Index X GBP Acc |
136.25p |
16.57% |
0.00% |
0.00% |
|
|
BlackRock iShares 100 UK Equity Index L GBP Inc |
112.07p |
-3.65% |
8.09% |
0.00% |
|
|
BlackRock UK Inc |
462.05p |
-1.42% |
9.38% |
-10.18% |
|
|
BlackRock UK Income A Acc |
2,168.62p |
-2.08% |
9.33% |
17.57% |
n |
y |
BlackRock UK Income A Inc |
492.82p |
-2.58% |
6.01% |
6.61% |
|
|
BlackRock UK Income D Acc |
2,317.32p |
-1.89% |
10.15% |
20.19% |
|
|
BlackRock UK Income D Acc NAV |
2,310.75p |
-1.90% |
10.13% |
20.16% |
|
|
BlackRock UK Income D Inc |
492.82p |
-2.58% |
6.01% |
6.61% |
|
|
BlackRock UK Income D Inc NAV |
491.43p |
-2.58% |
5.99% |
6.58% |
|
|
BlackRock UK Income Dis |
453.71p |
-2.76% |
5.21% |
4.16% |
n |
y |
BlackRock UK Income Dis NAV |
441.36p |
-2.77% |
5.18% |
4.12% |
|
|
BlackRock UK Income S Acc |
170.78p |
-1.84% |
10.34% |
20.61% |
|
|
BlackRock UK Income S Acc NAV |
166.13p |
-1.85% |
10.31% |
20.56% |
|
|
BlackRock UK Income S Dis |
117.32p |
-2.53% |
6.19% |
7.00% |
|
|
BlackRock UK Income S Dis NAV |
114.13p |
-2.54% |
6.16% |
6.96% |
|
|
BlackRock UK Income X Acc |
181.04p |
-1.70% |
11.02% |
23.03% |
|
|
BlackRock UK Income X Acc NAV |
180.53p |
-1.70% |
10.99% |
22.98% |
|
|
BMO Responsible UK Income 1 Acc NAV |
323.30p |
-3.67% |
12.57% |
5.04% |
n |
y |
BMO Responsible UK Income 1 Dis NAV |
137.30p |
-4.32% |
8.03% |
-6.66% |
n |
y |
BMO Responsible UK Income 2 Acc NAV |
110.90p |
-3.48% |
13.51% |
7.77% |
|
|
BMO Responsible UK Income 2 Dis NAV |
188.30p |
-3.93% |
8.91% |
-4.46% |
n |
n |
BMO UK Equity Income 1 Acc NAV |
209.50p |
-2.15% |
14.11% |
18.76% |
n |
y |
BMO UK Equity Income 1 Dis NAV |
82.42p |
-4.14% |
9.24% |
4.00% |
n |
y |
BMO UK Equity Income 2 Acc NAV |
108.00p |
-2.00% |
15.04% |
22.10% |
|
|
BMO UK Equity Income 2 Dis NAV |
123.30p |
-3.90% |
10.09% |
6.48% |
|
|
BNY Mellon Insight Equity Income Acc NAV |
635.33p |
1.56% |
8.00% |
37.51% |
|
|
BNY Mellon Insight Equity Income Booster Acc NAV |
267.30p |
1.73% |
8.42% |
39.82% |
|
|
BNY Mellon Insight Equity Income Booster Inc NAV |
90.37p |
0.14% |
1.94% |
16.34% |
|
|
BNY Mellon Insight Equity Income Booster Shares B Acc NAV |
154.29p |
1.87% |
9.01% |
42.10% |
|
|
BNY Mellon Insight Equity Income Booster Shares B Inc NAV |
71.26p |
0.28% |
2.49% |
18.23% |
|
|
BNY Mellon Insight Equity Income Booster W Instl Acc NAV |
295.24p |
1.90% |
9.15% |
42.63% |
|
|
BNY Mellon Insight Equity Income Booster W Instl Inc NAV |
99.14p |
0.30% |
2.62% |
18.66% |
|
|
BNY Mellon Insight Equity Income Inc NAV |
142.69p |
0.46% |
3.58% |
21.12% |
|
|
BNY Mellon Insight Equity Income Shares B Acc NAV |
169.57p |
1.72% |
8.72% |
40.29% |
|
|
BNY Mellon Insight Equity Income Shares B Inc NAV |
107.10p |
0.63% |
4.28% |
23.59% |
|
|
BNY Mellon Insight Equity Income W Institutional Acc NAV |
773.52p |
1.76% |
8.88% |
40.92% |
|
|
BNY Mellon Insight Equity Income W Institutional Inc NAV |
133.90p |
0.67% |
4.44% |
24.14% |
|
|
BNY Mellon Newton Income Instl Acc NAV |
370.64p |
-1.19% |
12.22% |
31.89% |
n |
n |
BNY Mellon Newton Uk Inc Instituitonal NAV |
84.03p |
-1.94% |
7.65% |
16.37% |
n |
n |
BNY Mellon Newton UK Income ex 2 Acc NAV |
262.70p |
8.96% |
7.61% |
21.69% |
n |
n |
BNY Mellon Newton Uk Income Sterling In NAV |
75.01p |
-2.06% |
7.07% |
14.45% |
n |
y |
BNY Mellon Newton UK Income X GBP Acc NAV |
718.03p |
-0.94% |
13.35% |
35.91% |
|
|
Brewin UK Equity Income Institutional Acc NAV |
138.19p |
-0.89% |
13.25% |
20.67% |
|
|
Brewin UK Equity Income Institutional Dis NAV |
115.40p |
-1.91% |
8.60% |
6.63% |
|
|
Brewin UK Equity Institutional Acc NAV |
128.97p |
-0.35% |
11.72% |
7.42% |
|
|
Brewin UK Equity Institutional Dis NAV |
116.38p |
-2.31% |
8.42% |
-1.73% |
|
|
Canada Life High Income |
330.15p |
-8.24% |
-9.36% |
11.64% |
n |
y |
Capita Miton Extra Income Portfolio A Inc NAV |
n/a |
n/a |
n/a |
n/a |
|
|
CF Miton UK Multi Cap Income N Retl Acc NAV |
174.60p |
4.49% |
6.22% |
0.00% |
|
|
CF Miton UK Multi Cap Income N Retl Dis NAV |
160.89p |
3.95% |
2.43% |
0.00% |
|
|
Charlotte Square Allweather A Inc |
145.30p |
-0.41% |
3.12% |
11.60% |
|
|
Conbrio CFP Castlefield Best Sustainable Inc General Inc NAV |
65.79p |
-6.30% |
-15.22% |
-10.11% |
|
|
EFA SPPM Investment Portfolio Equity High Income A Inc |
137.80p |
4.72% |
18.58% |
69.85% |
|
|
EFA SPPM Investment Portfolio Equity High Income B Dis |
95.40p |
4.53% |
17.73% |
17.49% |
|
|
Evenlode Income D Acc NAV |
427.40p |
-0.81% |
7.32% |
11.10% |
|
|
Evenlode Income D Dis NAV |
259.18p |
-1.46% |
4.22% |
2.05% |
|
|
F & C UK Growth & Income Acc 1 NAV |
658.50p |
0.84% |
22.58% |
13.57% |
n |
y |
F & C UK Growth & Income Acc 3 NAV |
753.80p |
1.18% |
24.33% |
18.32% |
n |
n |
F & C UK Growth & Income Dist 2 NAV |
216.20p |
0.75% |
18.99% |
-0.09% |
n |
n |
F & C UK Growth & Income Dist NAV |
234.70p |
0.82% |
18.42% |
-0.59% |
n |
y |
F&C Institutional UK Equity 4 Inc NAV |
228.10p |
n/a |
n/a |
n/a |
|
|
Fidelity Enhanced Income 01 Inc NAV |
84.91p |
-4.92% |
-2.79% |
-7.46% |
|
|
Fidelity Enhanced Income 02 Acc NAV |
189.60p |
1.48% |
-12.99% |
-1.33% |
|
|
Fidelity Enhanced Income W Acc NAV |
182.40p |
-3.29% |
5.37% |
15.59% |
|
|
Fidelity Enhanced Income W Monthly GBP Dis NAV |
77.92p |
-4.71% |
-2.54% |
-6.15% |
|
|
Fidelity Enhanced Income Y Acc NAV |
158.20p |
6.10% |
7.33% |
9.78% |
|
|
Fidelity FIF Enhanced Income W Inc NAV |
81.14p |
-4.73% |
-2.05% |
-5.32% |
|
|
Fidelity MoneyBuilder Dividend A Acc NAV |
161.40p |
-3.87% |
6.18% |
15.04% |
|
|
Fidelity MoneyBuilder Dividend Dis NAV |
244.30p |
-4.68% |
1.45% |
1.33% |
n |
y |
Fidelity UK Equity Pens 2 Acc NAV |
795.20p |
2.75% |
16.24% |
17.93% |
|
|
Fidelity UK Income Opportunities A Acc NAV |
94.51p |
-0.75% |
11.12% |
0.00% |
|
|
Fidelity UK Income Opportunities A Inc NAV |
89.42p |
-2.03% |
4.76% |
0.00% |
|
|
Fidelity UK Income Opportunities I Acc NAV |
94.85p |
-0.56% |
12.13% |
0.00% |
|
|
Fidelity UK Income Opportunities I Inc NAV |
94.79p |
-1.86% |
5.68% |
0.00% |
|
|
Fidelity UK Income Opportunities R Acc NAV |
95.00p |
-0.65% |
11.94% |
0.00% |
|
|
Fidelity UK Income Opportunities R Inc NAV |
129.53p |
-1.86% |
5.57% |
0.00% |
|
|
FIL Enhanced Income Y GBP Inc NAV |
93.28p |
4.69% |
-0.37% |
-11.25% |
|
|
FIL MoneyBuilder Dividend W GBP Inc NAV |
128.50p |
-4.53% |
1.98% |
2.96% |
|
|
FIL UK Equity Feeder G GBP Acc NAV |
n/a |
n/a |
n/a |
n/a |
|
|
FIL UK Equity Feeder G GBP Acc NAV |
1,672.73p |
23.17% |
30.41% |
0.00% |
|
|
Franklin Templeton UK Equity Income A Acc NAV |
214.13p |
-0.52% |
22.78% |
9.70% |
|
y |
Franklin Templeton UK Equity Income A Inc NAV |
235.04p |
-1.50% |
17.98% |
-3.70% |
|
y |
Franklin Templeton UK Equity Income W Acc NAV |
274.60p |
-2.80% |
8.45% |
16.38% |
|
|
Franklin Templeton UK Equity Income W Inc NAV |
162.10p |
-3.74% |
3.78% |
1.44% |
|
|
Franklin Templeton UK Equity Income Y Inc NAV |
123.20p |
0.49% |
1.77% |
4.61% |
|
|
Franklin Templeton UK Equity Income Z Acc NAV |
222.98p |
-0.45% |
23.15% |
11.03% |
|
|
Franklin Templeton UK Equity Income Z Inc NAV |
152.22p |
-1.51% |
17.97% |
-2.83% |
|
|
Fund Octopus Fixed Income H GBP Acc NAV |
104.30p |
-6.79% |
-7.60% |
0.57% |
|
|
Fund Octopus UK Equity H GBP Acc NAV |
105.79p |
-5.77% |
-1.27% |
7.78% |
|
|
FundRock FP CAF UK Equity D GBP Acc |
131.45p |
-1.90% |
4.75% |
0.00% |
|
|
FundRock FP Miton Income A GBP Acc |
127.95p |
-4.50% |
-14.89% |
-14.56% |
|
y |
FundRock FP Miton Income A GBP Inc |
68.94p |
-5.45% |
-19.54% |
-26.88% |
|
y |
FundRock FP Miton Income B GBP Inc |
95.44p |
0.00% |
0.00% |
0.00% |
|
|
FundRock FP Premier Miton Income B GBP Acc |
140.97p |
-4.32% |
-14.24% |
-12.62% |
|
|
GAM UK Equity Income Institutional GBP Acc |
1,250.41p |
-4.05% |
0.89% |
62.50% |
|
|
GAM UK Equity Income Semi Annual Institutional GBP Dis NAV |
1,009.20p |
-4.05% |
-3.51% |
44.76% |
|
|
GAM UK Equity Income Semi Annual Z GBP Acc NAV |
1,418.83p |
6.75% |
16.51% |
21.91% |
|
|
GAM UK Equity Income Semi Annual Z GBP Dis NAV |
1,051.93p |
3.79% |
10.21% |
5.19% |
|
|
Halifax UK ICVC Uk Eqty Inc E Inc NAV |
23.84p |
-3.44% |
6.76% |
1.15% |
|
|
Halifax UK ICVC UK Equity Income B Dis NAV |
24.78p |
-3.35% |
6.99% |
1.77% |
|
|
Halifax UK Inv ICVC Uk Eqty Inc F Acc NAV |
48.54p |
-2.31% |
11.15% |
14.37% |
|
|
Halifax UK Inv ICVC Uk Eqty Inc G Acc NAV |
50.34p |
-2.25% |
11.37% |
15.06% |
|
|
Hargreaves Lansdown Hl Multi Manager Inc & Gth Trust A Inc NAV |
96.25p |
3.45% |
9.78% |
4.51% |
n |
y |
Hargreaves Lansdown Income & Growth Trust M Acc NAV |
204.28p |
3.17% |
0.00% |
17.82% |
|
|
Hargreaves Lansdown Income & Growth Trust M Inc NAV |
87.82p |
1.81% |
0.00% |
4.47% |
|
|
Hargreaves Lansdown Multi-Manager Income & Gth Trust A Acc NAV |
233.07p |
4.43% |
14.60% |
19.02% |
n |
y |
Hargreaves Lansdown Select UK Income A Acc NAV |
120.19p |
2.69% |
11.49% |
9.10% |
|
|
Hargreaves Lansdown Select UK Income A Dis NAV |
87.54p |
1.87% |
7.17% |
-3.54% |
|
|
Henderson Investors UK Equity Income Trust Z Acc |
205.30p |
11.64% |
23.16% |
35.42% |
n |
n |
Henderson JH Global Equity Income A Acc NAV |
500.90p |
1.13% |
10.43% |
14.39% |
|
|
Henderson JH Global Equity Income A Dis NAV |
69.27p |
0.58% |
7.18% |
3.73% |
n |
y |
Henderson JH Global Equity Income I Dis NAV |
155.10p |
0.71% |
7.93% |
6.09% |
n |
y |
Henderson JH Instl UK Index Opportunities Trust I Acc NAV |
399.56p |
-2.06% |
12.06% |
16.95% |
|
|
Henderson JH Instl UK Index Opportunities Trust Y Acc NAV |
311.88p |
-2.09% |
12.05% |
17.02% |
n |
n |
Henderson JH Instl UK Index Opportunities Trust Z Acc NAV |
427.88p |
-1.99% |
12.38% |
17.90% |
n |
n |
Henderson JH UK Equity Income & Growth A Acc NAV |
817.20p |
-2.86% |
12.13% |
10.82% |
|
|
Henderson JH UK Equity Income & Growth A Dis NAV |
519.80p |
-3.76% |
7.69% |
-3.09% |
n |
y |
Henderson JH UK Equity Income & Growth C Dis NAV |
147.10p |
-3.73% |
7.69% |
-3.10% |
n |
y |
Henderson JH UK Equity Income & Growth I Acc NAV |
1,601.00p |
-2.67% |
13.06% |
13.71% |
n |
y |
Henderson JH UK Equity Income & Growth I Dis NAV |
617.60p |
-3.58% |
8.50% |
-0.87% |
n |
y |
Henderson JH UK Equity Income & Growth Z Acc NAV |
273.30p |
-2.50% |
13.92% |
16.40% |
|
|
Henderson JH UK Equity Income & Growth Z Dis NAV |
202.10p |
-3.39% |
9.30% |
1.40% |
n |
y |
Henderson UK Equity Income A Acc NAV |
299.40p |
-14.27% |
-2.24% |
0.31% |
n |
y |
Henderson UK Equity Income A Dis NAV |
181.47p |
-16.13% |
-6.04% |
-12.55% |
n |
y |
Henderson UK Equity Income I Dis NAV |
186.79p |
-16.01% |
-5.54% |
-11.19% |
|
|
Henderson UK Equity Income X |
87.34p |
0.00% |
0.00% |
0.00% |
n |
y |
Henderson UK Growth & Income X Inc |
94.75p |
3.80% |
10.19% |
-31.19% |
n |
n |
Henderson UK Growth & Income Z Inc |
122.70p |
-1.92% |
26.07% |
-22.00% |
n |
n |
HSBC Income Acc |
791.60p |
-3.46% |
11.12% |
19.20% |
n |
y |
HSBC Income C Acc NAV |
862.50p |
-3.30% |
11.90% |
21.72% |
|
|
HSBC Income C Inc NAV |
336.90p |
-3.30% |
7.26% |
6.95% |
|
|
HSBC Income Inc |
304.20p |
-3.46% |
6.51% |
4.72% |
n |
y |
HSBC Ladder Fd NAV |
120.00p |
n/a |
n/a |
n/a |
|
|
HSBC MERIT UK Equity Instl A Acc |
136.00p |
-1.75% |
3.01% |
39.70% |
|
|
HSBC Merit UK Equity Unit Trust Acc |
9.36p |
0.00% |
0.00% |
0.00% |
|
|
HSBC Merit UK Equity Unit Trust Inc |
17,865.53p |
n/a |
n/a |
n/a |
|
|
HSBC UK Multi-Factor Equity A GBP Institutional Income NAV |
124.80p |
-0.64% |
0.56% |
36.51% |
|
|
HSBC US Multi-Factor Equity A GBP Institutional Acc NAV |
917.50p |
10.78% |
33.53% |
40.79% |
|
|
Ignis Higher Yield Acc |
126.75p |
-10.57% |
-27.39% |
-32.91% |
n |
y |
Ignis Higher Yield Inc |
52.35p |
-12.15% |
-31.05% |
-40.74% |
n |
y |
Ignis UK Enhanced Income A Acc |
131.95p |
0.43% |
10.31% |
17.37% |
|
|
Ignis UK Enhanced Income A Inc |
107.15p |
-0.67% |
4.67% |
-2.34% |
|
|
Ignis UK Enhanced Income I Acc |
135.92p |
0.70% |
11.38% |
20.36% |
|
|
Ignis UK Enhanced Income I Inc |
109.87p |
-0.46% |
5.40% |
-0.30% |
|
|
Ignis UK Equity Income A Retl GBP Acc |
263.08p |
3.73% |
15.27% |
52.42% |
|
|
Ignis UK Equity Income A Retl GBP Dis |
84.27p |
2.76% |
10.51% |
33.03% |
|
|
Insight Equity High Income B Acc Inst NAV |
445.25p |
7.66% |
14.45% |
42.90% |
n |
y |
Insight Investment UK Equity Income Booster A Acc NAV |
621.87p |
4.27% |
11.80% |
37.13% |
|
|
Insight Investment UK Equity Income Booster A Inc NAV |
133.45p |
3.01% |
3.01% |
7.09% |
|
|
Insight Investment UK Equity Income Booster B Acc NAV |
187.80p |
4.49% |
12.69% |
40.37% |
|
|
Insight Investment UK Equity Income Booster B Inc NAV |
136.51p |
3.22% |
3.83% |
9.65% |
|
|
Insight Investment UK Equity Income Booster F Acc NAV |
938.28p |
5.89% |
14.06% |
0.00% |
|
|
Insight Investment UK Equity Income Booster F Inc NAV |
104.71p |
4.58% |
5.09% |
0.00% |
|
|
Insight Investment UK Equity Income Booster S Acc NAV |
141.86p |
4.65% |
13.37% |
0.00% |
|
|
Insight Professional Equity High Income Instl Inc NAV |
122.07p |
7.64% |
10.49% |
27.64% |
n |
y |
Insight Professional Equity High Income Retl Acc NAV |
399.11p |
7.36% |
13.21% |
38.34% |
n |
y |
Insight Professional Equity High Income Retl Inc NAV |
142.03p |
7.36% |
9.28% |
24.09% |
n |
y |
Insight UK Equity Income Instl Acc |
148.90p |
2.69% |
6.21% |
0.00% |
n |
y |
Invesco Income & Growth GBP Acc NAV |
1,409.79p |
0.33% |
12.40% |
11.74% |
n |
y |
Invesco Income & Growth GBP Dis NAV |
449.66p |
0.33% |
8.75% |
1.59% |
n |
y |
Invesco Income & Growth Y GBP Acc NAV |
335.26p |
3.43% |
9.10% |
20.81% |
|
|
Invesco Income & Growth Y GBP Dis NAV |
237.00p |
3.43% |
5.60% |
10.41% |
|
|
Invesco Perpetual Offshore UK Equity Income |
1,648.64p |
0.40% |
11.79% |
32.71% |
n |
n |
Investment IFSL CAF UK Equity D GBP Inc |
113.59p |
-0.72% |
4.24% |
0.00% |
|
|
iShares UK Equity Index (UK) X Acc |
240.89p |
-1.26% |
11.65% |
0.00% |
|
|
iShares UK Equity Index UK A Acc NAV |
238.70p |
6.14% |
0.00% |
0.00% |
|
|
JOHCM UK Equity Income A GBP Acc NAV |
531.40p |
2.04% |
23.67% |
23.84% |
n |
n |
JOHCM UK Equity Income A GBP Inc NAV |
206.50p |
0.73% |
17.73% |
5.14% |
n |
n |
JOHCM UK Equity Income B GBP Acc NAV |
484.00p |
1.92% |
23.06% |
22.01% |
n |
n |
JOHCM UK Equity Income B GBP Inc NAV |
187.80p |
0.59% |
17.08% |
3.53% |
n |
n |
JOHCM UK Equity Income X GBP Inc NAV |
103.40p |
0.58% |
17.63% |
5.51% |
|
|
JOHCM UK Equity Income Y GBP Acc NAV |
214.30p |
1.56% |
23.16% |
23.73% |
|
|
JOHCM UK Equity Income Y GBP Inc NAV |
139.40p |
0.36% |
17.44% |
5.13% |
|
|
JP Morgan UK Equity Core Quarterly Net E GBP Dis NAV |
57.82p |
-3.07% |
8.18% |
0.00% |
|
|
JP Morgan UK Equity Income A Inc Retl NAV |
269.40p |
-18.14% |
-23.03% |
-4.77% |
n |
y |
JP Morgan UK Equity Income I Acc Instl NAV |
364.30p |
-16.88% |
-18.97% |
10.06% |
n |
y |
JP Morgan UK Equity Income I Inc Instl NAV |
286.50p |
-17.96% |
-22.32% |
-2.12% |
n |
y |
JP Morgan UK Higher Income A Net Acc NAV |
1,132.00p |
7.60% |
9.90% |
13.64% |
n |
y |
JP Morgan UK Higher Income A Net Dis NAV |
531.30p |
4.96% |
4.28% |
-1.87% |
n |
y |
JP Morgan UK Higher Income C Acc NAV |
174.90p |
7.76% |
10.49% |
15.60% |
|
|
JP Morgan UK Higher Income C Inc NAV |
125.60p |
5.19% |
4.93% |
-0.08% |
|
|
Jupiter Income Trust I Acc NAV |
980.94p |
-3.08% |
10.85% |
23.92% |
|
|
Jupiter Income Trust I Inc NAV |
577.37p |
-3.09% |
5.50% |
8.08% |
|
|
Jupiter Income Trust L Inc NAV |
517.01p |
-3.26% |
4.75% |
5.76% |
n |
y |
Jupiter Income Trust Z Acc NAV |
990.87p |
-3.05% |
10.95% |
24.29% |
|
|
Jupiter Income Trust Z Inc NAV |
582.84p |
-3.07% |
5.59% |
8.38% |
|
|
Jupiter Merian UK Equity Income I GBP Acc NAV |
214.11p |
-2.91% |
-1.44% |
34.75% |
|
|
Jupiter Merian UK Equity Income I GBP Inc NAV |
136.41p |
-4.49% |
-6.02% |
18.21% |
|
|
Jupiter Merian UK Equity Income L GBP Acc NAV |
3,921.75p |
-3.09% |
-2.16% |
31.78% |
|
y |
Jupiter Merian UK Equity Income L GBP Inc NAV |
817.79p |
-4.67% |
-6.71% |
15.56% |
|
y |
Jupiter Merian UK Equity Income P GBP Acc NAV |
235.06p |
-2.97% |
-1.67% |
33.78% |
|
y |
Jupiter Merian UK Equity Income P GBP Dis NAV |
121.84p |
-4.55% |
-6.25% |
17.27% |
|
|
Jupiter Merian UK Equity Income U1 GBP Acc NAV |
161.35p |
-2.89% |
-1.38% |
35.02% |
|
|
Jupiter Merian UK Equity Income U1 GBP Inc NAV |
108.44p |
-4.47% |
-5.95% |
18.42% |
|
|
Jupiter Merian UK Equity Income U2 GBP Acc NAV |
163.37p |
-2.88% |
-1.30% |
35.35% |
|
|
Jupiter Merian UK Equity Income U2 GBP Inc NAV |
107.41p |
-4.46% |
-5.88% |
18.75% |
|
|
Lazard Multicap UK Income A GBP Acc NAV |
1,448.00p |
-1.96% |
12.25% |
16.38% |
n |
n |
Lazard Multicap UK Income A GBP Inc NAV |
681.00p |
-2.88% |
7.92% |
2.81% |
n |
n |
Lazard Multicap UK Income B GBP Acc NAV |
1,813.00p |
-2.05% |
11.71% |
14.63% |
n |
n |
Lazard Multicap UK Income B GBP Inc NAV |
607.60p |
-3.00% |
7.41% |
1.29% |
n |
n |
Legal & General Barclays MM UK Equity Income 2 B Acc |
40.27p |
16.55% |
14.68% |
0.00% |
n |
n |
Legal & General Barclays MM UK Equity Income 2 B Dis |
286.40p |
10.96% |
29.18% |
-12.44% |
n |
n |
Legal & General Barclays MM UK Equity Income 2 I Dis |
6,950.09p |
5.77% |
-36.67% |
0.00% |
n |
n |
Legal & General Barclays MM UK Equity Income 2 M Dis NAV |
145.30p |
11.17% |
30.08% |
-10.80% |
n |
n |
Legal & General Barclays MM UK Equity Income B Acc |
86.45p |
-71.82% |
-69.35% |
0.00% |
|
|
Legal & General Barclays MM UK Equity Income B Dist |
261.80p |
2.03% |
-12.76% |
0.00% |
|
|
Legal & General UK 350 Index I Acc NAV |
65.25p |
-1.85% |
11.54% |
18.23% |
|
|
Legal & General UK 350 Index I Inc NAV |
54.89p |
-4.09% |
7.71% |
6.01% |
|
|
Legal & General UK Equity Income F Acc NAV |
100.50p |
-3.37% |
11.62% |
19.50% |
|
|
Legal & General UK Equity Income F Inc NAV |
55.99p |
-4.58% |
7.18% |
4.69% |
|
|
Legal & General UK Equity Income I Acc NAV |
105.00p |
-3.40% |
11.87% |
20.39% |
|
|
Legal & General UK Equity Income I Inc NAV |
58.36p |
-4.58% |
7.08% |
5.15% |
|
|
Legal & General UK Equity Income L Inc NAV |
64.57p |
-4.44% |
7.85% |
7.53% |
|
|
Legal & General UK Equity Income R Acc NAV |
94.48p |
-3.50% |
11.11% |
18.03% |
|
|
Legal & General UK Equity Income R Inc NAV |
52.51p |
-4.74% |
6.38% |
3.10% |
|
|
Legal & General UK Index Trust C Inc NAV |
175.30p |
-3.68% |
7.81% |
5.41% |
|
|
Legal & General UK Index Trust I Inc NAV |
175.20p |
-3.68% |
7.82% |
5.42% |
|
|
Legal & General UK Select Equity L GBP Acc |
50.75p |
-1.34% |
12.38% |
-15.23% |
|
|
LGIM FTSE RAFI UK Equity Income S Dis NAV |
1,229.17p |
n/a |
n/a |
n/a |
|
|
Link Access UK Equity A GBP Dis NAV |
118.61p |
-0.55% |
-7.22% |
5.53% |
|
|
Link Access UK Equity Core A GBP Dis NAV |
115.31p |
-0.78% |
-4.08% |
-4.45% |
|
|
Link ASI Income Focus A Sterling Acc NAV |
66.15p |
0.32% |
3.17% |
22.30% |
|
|
Link ASI Income Focus A Sterling Inc NAV |
48.12p |
-0.80% |
-2.10% |
6.44% |
|
|
Link ASI Income Focus C Sterling Acc NAV |
67.17p |
0.39% |
3.43% |
23.23% |
|
|
Link ASI Income Focus C Sterling Inc NAV |
48.86p |
-0.75% |
-1.87% |
7.22% |
|
|
Link ASI Income Focus X Sterling Acc NAV |
64.19p |
0.19% |
2.64% |
20.45% |
|
|
Link ASI Income Focus X Sterling Inc NAV |
46.66p |
-0.93% |
-2.61% |
4.83% |
|
|
Link ASI Income Focus Z Sterling Acc NAV |
67.57p |
0.40% |
3.52% |
23.57% |
|
|
Link ASI Income Focus Z Sterling Inc NAV |
49.15p |
-0.71% |
-1.74% |
7.57% |
|
|
Link CF Canlife UK Equity Income A Acc NAV |
688.10p |
-3.45% |
9.81% |
19.47% |
|
|
Link CF Canlife UK Equity Income B Acc NAV |
581.22p |
0.02% |
23.53% |
2.54% |
|
|
Link CF Canlife UK Equity Income C Acc NAV |
754.06p |
-3.27% |
10.64% |
22.18% |
|
|
Link CF Canlife UK Equity Income C Inc NAV |
455.54p |
-5.80% |
5.98% |
7.88% |
|
|
Link CF Canlife UK Equity Income G Acc NAV |
789.44p |
-3.18% |
11.05% |
23.57% |
|
|
Link LF Equity Income F GBP Acc NAV |
0.75p |
0.00% |
-13.97% |
-96.52% |
|
|
Link Livingbridge UK Multi Cap Income B Sterling GBP Acc NAV |
178.72p |
-4.45% |
11.05% |
10.27% |
|
|
Link Trojan I Inc NAV |
322.31p |
1.18% |
6.50% |
1.71% |
n |
y |
Link Wales PP UK Opportunities Equity A GBP Dis NAV |
112.70p |
1.83% |
7.20% |
5.27% |
|
|
Liontrust Macro Equity Income A Acc NAV |
353.05p |
5.18% |
40.14% |
0.00% |
|
|
Liontrust Macro Equity Income A Dis NAV |
171.43p |
4.59% |
33.55% |
0.00% |
|
|
Liontrust Macro Equity Income I Acc NAV |
360.82p |
5.23% |
40.46% |
0.00% |
|
|
Liontrust Macro Equity Income I Dis NAV |
174.03p |
4.57% |
33.77% |
0.00% |
|
|
Liontrust Macro Equity Income R Acc NAV |
338.70p |
5.04% |
39.42% |
0.00% |
|
|
Liontrust Macro Equity Income R Dis NAV |
161.84p |
4.31% |
32.69% |
0.00% |
|
|
M&G Dividend GBP A Acc |
823.85p |
-3.46% |
9.95% |
10.23% |
n |
y |
M&G Dividend GBP A Inc |
50.83p |
-4.17% |
3.17% |
-8.20% |
n |
y |
M&G Dividend I Acc NAV |
1,926.36p |
-3.36% |
10.39% |
11.56% |
|
|
M&G Dividend I Dis NAV |
1,048.92p |
-4.07% |
3.57% |
-7.09% |
|
|
M&G Dividend R Acc NAV |
186.77p |
-3.42% |
10.11% |
10.73% |
|
|
M&G Dividend R Dis NAV |
101.68p |
-4.13% |
3.30% |
-7.79% |
|
|
M&G Dividend X Acc NAV |
735.80p |
-2.07% |
1.56% |
8.86% |
n |
y |
M&G Dividend X Inc NAV |
54.12p |
-3.62% |
-3.55% |
-7.83% |
n |
y |
M&G Equities Investment for Charities GBP Acc NAV |
31,952.44p |
-3.92% |
10.25% |
11.25% |
|
y |
M&G Equities Investment for Charities GBP Inc NAV |
1,438.78p |
-5.95% |
3.78% |
-6.63% |
|
n |
M&G Income A Acc NAV |
255.86p |
-18.12% |
-1.07% |
2.66% |
n |
n |
M&G Income A Inc NAV |
33.05p |
-19.74% |
-4.97% |
-12.22% |
n |
y |
M&G Income X Acc NAV |
252.98p |
-18.12% |
-1.07% |
2.67% |
n |
n |
M&G Income X Inc NAV |
33.13p |
-19.76% |
-4.99% |
-12.24% |
n |
y |
Maitland Chelverton UK Equity Income Retail Dis NAV |
85.42p |
8.35% |
-10.54% |
-11.93% |
|
|
Majedie UK Income B NAV |
243.47p |
-0.92% |
8.60% |
20.69% |
|
|
Majedie UK Income X Acc NAV |
213.97p |
1.47% |
18.82% |
0.00% |
|
|
Majedie UK Income X Inc NAV |
133.13p |
1.47% |
13.54% |
0.00% |
|
|
Marlborough Multi Cap Income A Acc NAV |
222.43p |
-3.90% |
13.02% |
-7.96% |
|
|
Marlborough Multi Cap Income A Inc NAV |
121.73p |
-3.91% |
7.88% |
-20.56% |
|
|
Marlborough Multi Cap Income B Acc NAV |
246.02p |
5.47% |
32.54% |
0.00% |
|
|
Marlborough Multi Cap Income B Inc NAV |
163.74p |
3.22% |
27.43% |
0.00% |
|
|
Marlborough Multi Cap Income P Acc NAV |
231.79p |
-3.72% |
13.97% |
-5.71% |
|
|
Marlborough Multi Cap Income P Inc NAV |
133.18p |
-3.72% |
8.78% |
-18.61% |
|
|
Marlborough Multi cap P Inc NAV |
713.58p |
-6.49% |
8.26% |
-15.76% |
|
|
Marlborough UK Equity Inc |
38.04p |
3.26% |
-15.06% |
-3.71% |
n |
y |
Marlborough UK Equity Income B Inc |
0.65p |
2.96% |
-13.57% |
0.00% |
|
y |
Mellon Newton Higher Income (Net) Acc NAV |
659.38p |
-1.07% |
12.79% |
33.91% |
n |
n |
NatWest Equity Income NAV |
347.50p |
3.98% |
0.00% |
9.24% |
n |
n |
Neptune Monthly Income A Acc NAV |
132.70p |
6.59% |
20.97% |
0.00% |
|
|
Neptune Monthly Income A Inc NAV |
127.30p |
6.08% |
16.36% |
0.00% |
|
|
Neptune Monthly Income B Acc NAV |
132.50p |
6.94% |
21.12% |
0.00% |
|
|
Neptune Monthly Income B Inc NAV |
127.40p |
6.08% |
16.13% |
0.00% |
|
|
Neptune Quarterly Income Acc |
198.35p |
2.72% |
-2.36% |
11.09% |
n |
y |
Neptune Quarterly Income C Acc |
150.05p |
3.16% |
0.98% |
14.32% |
|
|
Neptune Quarterly Income C Inc |
114.30p |
4.05% |
1.78% |
0.00% |
|
|
Neptune Quarterly Income Inc |
124.30p |
1.47% |
-6.08% |
-2.13% |
n |
y |
New Star Equity Income Fund Acc |
142.91p |
9.18% |
-10.75% |
-27.07% |
n |
y |
New Star Equity Income Fund Inc |
94.17p |
7.81% |
-15.46% |
-37.14% |
n |
y |
NFU Mutual UK Equity Income B Inc |
159.65p |
4.60% |
0.09% |
4.11% |
|
|
NFU Mutual UK Equity Income C Inc NAV |
125.42p |
3.59% |
9.79% |
8.26% |
|
|
NFU Mutual UK Equity Income I Inc |
4,566.34p |
3.69% |
10.32% |
10.15% |
|
|
Ninety One Funds Series I UK Equity Income I Dis NAV |
127.05p |
0.95% |
9.61% |
5.00% |
|
|
Ninety One Funds Series I UK Equity Income J Acc NAV |
175.26p |
1.71% |
12.98% |
14.87% |
|
|
Ninety One UK Sustainable Equity I GBP Dis NAV |
111.80p |
-3.80% |
6.27% |
-13.47% |
|
|
Octopus UK Multi Cap Income I GBP Acc NAV |
137.06p |
-3.89% |
18.07% |
-11.70% |
|
|
Octopus UK Multi Cap Income I GBP Dis NAV |
109.12p |
-4.98% |
12.85% |
-22.64% |
|
|
Octopus UK Multi Cap Income R GBP Acc NAV |
135.41p |
-3.87% |
18.27% |
-12.04% |
|
|
Octopus UK Multi Cap Income R GBP Dis NAV |
107.99p |
-4.96% |
12.95% |
-22.74% |
|
|
Octopus UK Multi Cap Income S GBP Acc NAV |
157.38p |
-3.78% |
18.60% |
-10.82% |
|
|
Octopus UK Multi Cap Income S GBP Dis NAV |
123.87p |
-4.87% |
13.36% |
-21.70% |
|
|
Old Mutual Artemis Income A Inc NAV |
116.60p |
-4.03% |
0.00% |
0.00% |
|
|
Old Mutual Newton Higher Income A Inc NAV |
127.30p |
-2.53% |
0.00% |
0.00% |
|
|
Old Mutual Newton Higher Income U2 Dis NAV |
117.86p |
1.43% |
6.85% |
10.25% |
|
|
Premier B.E.S.T Income Charity Dis NAV |
75.62p |
3.33% |
-3.10% |
-1.54% |
|
|
Premier B.E.S.T Income Retail Dis NAV |
72.30p |
3.27% |
-3.36% |
-2.28% |
|
|
Premier Castlefield Monthly Equity Charity Acc NAV |
73.74p |
2.80% |
6.15% |
0.00% |
|
|
Premier Castlefield Monthly Equity General Acc NAV |
73.14p |
2.58% |
4.83% |
0.00% |
|
|
Premier Castlefield Monthly Equity Institutional Acc NAV |
73.18p |
2.74% |
-0.35% |
0.00% |
|
|
Premier Inc C Acc NAV |
886.60p |
-4.19% |
-2.16% |
-4.82% |
|
|
Premier Income A Inc NAV |
535.90p |
-4.41% |
-7.03% |
-19.55% |
n |
y |
Premier Income B Inc NAV |
587.90p |
-4.30% |
-6.56% |
-18.34% |
|
|
Premier Income C Inc NAV |
620.00p |
-4.22% |
-6.27% |
-17.63% |
|
|
Premier Miton UK Multi Cap Income A Retail Acc NAV |
295.70p |
0.31% |
16.97% |
-7.42% |
|
|
Premier Miton UK Multi Cap Income A Retail Inc NAV |
166.80p |
-1.01% |
11.13% |
-19.65% |
|
|
Premier Miton UK Multi Cap Income B Instl Acc NAV |
326.30p |
0.49% |
17.88% |
-5.12% |
|
|
Premier Miton UK Multi Cap Income B Instl Inc NAV |
184.30p |
-0.81% |
11.97% |
-17.80% |
|
|
Premier Monthly Inc C Acc NAV |
311.70p |
-2.78% |
12.57% |
22.14% |
|
|
Premier Monthly Income A Inc NAV |
167.90p |
-4.00% |
7.28% |
4.87% |
|
|
Premier Monthly Income Class A NAV |
155.79p |
0.00% |
9.12% |
-8.17% |
|
y |
Premier Monthly Income Class I NAV |
159.45p |
0.00% |
9.44% |
-7.93% |
|
y |
Premier Monthly Income Class R NAV |
150.80p |
0.00% |
8.62% |
-5.15% |
|
y |
Premier Multi-Asset Monthly Inc C Acc NAV |
215.50p |
-1.19% |
7.11% |
0.42% |
|
|
Premier Optimum Income A Acc NAV |
286.60p |
-3.66% |
9.64% |
18.53% |
|
y |
Premier Optimum Income A Inc NAV |
77.14p |
-5.26% |
2.16% |
-4.55% |
n |
y |
Premier Optimum Income B Inc NAV |
81.77p |
-5.14% |
2.67% |
-3.05% |
|
|
Premier Optimum Income C Acc NAV |
203.97p |
2.71% |
8.83% |
53.99% |
|
|
Premier Optimum Income C Inc NAV |
88.82p |
-5.08% |
2.94% |
-2.23% |
|
|
Premier UK Alpha Income A Net Dis NAV |
76.26p |
12.59% |
12.10% |
0.00% |
|
y |
Premier UK Alpha Income B Net Inc NAV |
79.74p |
12.74% |
12.69% |
0.00% |
|
|
Premier UK Alpha Income I GBP Dis NAV |
81.51p |
12.80% |
13.00% |
0.00% |
|
|
Prudential Equity Income A |
88.99p |
-8.68% |
-1.02% |
26.42% |
n |
y |
Prudential Newton Higher Income A |
110.20p |
-0.34% |
0.92% |
14.61% |
n |
y |
Quilter Investors UK Equity Large-Cap Dis U2 GBP Acc NAV |
164.70p |
-2.20% |
5.44% |
47.58% |
|
|
Quilter Investors UK Equity Large-Cap Dis U2 GBP Dis NAV |
117.20p |
-3.78% |
1.30% |
31.11% |
|
|
Quilter Investors UK Equity Large-Cap Value U2 GBP Acc NAV |
191.60p |
-1.54% |
11.27% |
57.44% |
|
|
RAB Elite-RAB UK Equity Income I GBP Acc NAV |
62.04p |
-22.37% |
-39.18% |
0.00% |
|
|
RAB Elite-RAB UK Equity Income I GBP Inc NAV |
10.84p |
0.00% |
0.00% |
0.00% |
|
|
RAB Elite-RAB UK Equity Income R GBP Acc NAV |
61.23p |
-22.52% |
-39.91% |
0.00% |
|
|
RAB Elite-RAB UK Equity Income R GBP Inc NAV |
59.35p |
-22.72% |
-41.81% |
0.00% |
|
|
Rathbone Income Acc NAV |
1,808.63p |
6.18% |
1.34% |
21.74% |
n |
y |
Rathbone Income Inc NAV |
827.76p |
6.18% |
-3.39% |
6.10% |
n |
y |
Rathbone Income Institutional Acc NAV |
2,058.24p |
-4.94% |
6.22% |
11.62% |
|
|
Rathbone Income Institutional Inc NAV |
920.18p |
-7.77% |
1.45% |
-3.10% |
|
|
Rathbone Income S Acc NAV |
2,116.75p |
-4.88% |
6.50% |
12.50% |
|
|
Rathbone Income S Inc |
910.36p |
-2.59% |
-8.81% |
5.53% |
|
|
Rathbone Income X Cap GBP Acc |
105.44p |
-2.47% |
-4.62% |
0.00% |
|
|
Rathbone Income X GBP Acc NAV |
103.12p |
10.20% |
5.53% |
0.00% |
|
|
RBS Collective Equity Income |
347.50p |
3.98% |
-7.06% |
9.24% |
n |
n |
River & Mercantile UK Equity Income A Inc |
195.93p |
6.21% |
14.22% |
-5.68% |
|
|
River & Mercantile UK Equity Income B Inc |
514.93p |
-7.98% |
2.68% |
-4.00% |
|
|
Royal London UK Equity Income A Inc |
805.60p |
-5.72% |
7.44% |
4.80% |
n |
y |
Royal London UK Equity Income M Acc |
273.20p |
-4.68% |
12.43% |
20.78% |
|
|
Royal London UK Equity Income M Inc |
871.40p |
-5.65% |
7.83% |
5.98% |
|
|
Royal London UK Equity Income R GBP Acc |
147.60p |
-4.53% |
13.19% |
23.21% |
|
|
Royal London UK Equity Income S GBP Acc |
139.40p |
-4.52% |
13.15% |
23.14% |
|
|
Royal London UK Equity Income Z GBP Acc |
133.50p |
-4.64% |
12.47% |
21.03% |
|
|
Royal London UK Equity Income Z Inc |
130.90p |
-5.62% |
7.91% |
5.82% |
|
|
Royal London UK Equity Income Z Inc NAV |
130.90p |
-5.62% |
7.91% |
5.82% |
|
|
Royal London UK Equity M Acc |
229.00p |
-1.93% |
9.52% |
15.48% |
|
|
Royal London UK Equity R GBP Acc |
148.90p |
-1.78% |
10.21% |
17.71% |
|
|
RWC UK Equity Income L GBP Acc NAV |
147.90p |
1.86% |
19.27% |
27.28% |
|
|
RWC UK Equity Income L GBP Dis NAV |
118.90p |
0.93% |
14.55% |
12.92% |
|
|
RWC UK Equity Income R GBP Acc NAV |
146.20p |
1.81% |
19.06% |
26.58% |
|
|
RWC UK Equity Income R GBP Dis NAV |
117.50p |
0.86% |
14.30% |
12.23% |
|
|
RWC UK Equity Income S GBP Acc NAV |
146.90p |
1.80% |
19.14% |
26.86% |
|
|
RWC UK Equity Income S GBP Dis NAV |
118.20p |
0.85% |
14.42% |
12.57% |
|
|
Santander Dividend Income Portfolio Instl Inc NAV |
50.24p |
3.71% |
12.42% |
0.00% |
|
|
Santander Dividend Income Portfolio Retl Inc NAV |
171.00p |
4.97% |
4.78% |
1.60% |
|
|
Santander Enhanced Income Portfolio Inst Acc |
226.40p |
9.48% |
12.30% |
15.92% |
|
|
Santander Enhanced Income Portfolio Inst Inc |
206.10p |
-2.32% |
5.75% |
-10.43% |
|
|
Santander Enhanced Income Portfolio Institutional Acc NAV |
245.90p |
-1.21% |
10.92% |
4.64% |
|
|
Santander Enhanced Income Portfolio Ret Acc |
250.50p |
6.78% |
11.33% |
19.63% |
|
|
Santander Enhanced Income Portfolio Ret Inc |
201.70p |
6.55% |
10.40% |
4.13% |
|
|
Santander Enhanced Income Portfolio X Dis NAV |
171.90p |
6.57% |
10.40% |
4.12% |
|
|
Santander Equity Income Inst Inc NAV |
271.40p |
8.78% |
9.57% |
4.99% |
|
|
Santander Equity Income Unit Trust Institutional Acc NAV |
234.90p |
-1.26% |
11.59% |
6.19% |
|
|
Santander Equity Income Unit Trust RI Inc NAV |
213.20p |
-4.01% |
6.76% |
-8.10% |
n |
n |
Sarasin UK Thematic Smaller Companies Z Acc NAV |
765.40p |
-4.78% |
-9.39% |
-14.43% |
|
|
Schroder Income A Inc NAV |
1,212.00p |
-1.70% |
8.12% |
6.41% |
n |
y |
Schroder Income L Acc NAV |
105.10p |
0.19% |
14.79% |
26.26% |
|
|
Schroder Income L Inc NAV |
66.59p |
-1.45% |
9.04% |
9.13% |
|
|
Schroder Income Maximiser A Acc NAV |
149.10p |
0.20% |
12.95% |
24.25% |
n |
y |
Schroder Income Maximiser A Inc NAV |
37.05p |
-1.62% |
5.17% |
-0.54% |
n |
y |
Schroder Income Maximiser L Acc NAV |
94.45p |
0.34% |
13.66% |
26.73% |
|
|
Schroder Income Maximiser L Inc NAV |
42.21p |
-1.45% |
5.87% |
1.47% |
|
|
Schroder Income Maximiser S Inc NAV |
42.26p |
-1.42% |
6.10% |
2.18% |
|
|
Schroder Income Q Acc |
79.74p |
8.59% |
15.51% |
0.00% |
|
|
Schroder Income Q Dis NAV |
67.19p |
-1.39% |
9.38% |
9.97% |
|
|
Schroder Income S Inc NAV |
65.92p |
-1.41% |
9.34% |
10.05% |
|
|
Schroder Income Trust for Charities Acc |
78.67p |
0.99% |
0.47% |
15.51% |
|
|
Schroder Income Z Acc NAV |
141.40p |
0.21% |
14.77% |
26.02% |
|
|
Schroder Prime UK Equity S Dis NAV |
57.39p |
-3.77% |
8.39% |
5.71% |
|
|
Schroder Retail Income A Acc NAV |
12,870.00p |
0.00% |
13.89% |
23.28% |
n |
y |
Schroder Sterling Corporate Bond A Acc NAV |
87.71p |
-0.95% |
9.13% |
-9.14% |
|
|
Schroder UK Alpha Income A Acc NAV |
242.30p |
-2.53% |
9.10% |
12.12% |
|
|
Schroder UK Alpha Income A Inc NAV |
148.20p |
-2.56% |
4.51% |
-1.98% |
n |
n |
Schroder UK Alpha Income C Inc NAV |
165.30p |
-2.30% |
5.29% |
0.12% |
n |
n |
Schroder UK Alpha Income L Acc NAV |
87.02p |
-2.32% |
9.96% |
14.82% |
|
|
Schroder UK Alpha Income L Inc NAV |
53.86p |
-2.32% |
5.38% |
0.39% |
|
|
Schroder UK Alpha Income S Inc NAV |
52.63p |
-2.30% |
5.49% |
0.69% |
|
|
Schroder UK Alpha Income Z Inc NAV |
172.00p |
-2.33% |
5.26% |
0.12% |
n |
n |
Schroder UK Alpha Plus L Acc NAV |
76.31p |
-3.20% |
2.62% |
-5.00% |
|
|
Schroder UK Alpha Plus L Inc NAV |
59.37p |
-3.20% |
0.59% |
-10.22% |
|
|
Schroder UK Alpha Plus S Acc NAV |
75.53p |
-3.14% |
2.85% |
-4.40% |
|
|
Schroder UK Alpha Plus S Inc NAV |
56.67p |
-3.14% |
0.60% |
-10.25% |
|
|
Schroder UK Equity Income Z Acc NAV |
292.30p |
-2.34% |
9.89% |
14.49% |
|
|
Schroder UK Equity S Acc NAV |
60.90p |
-6.02% |
-1.12% |
-6.82% |
|
|
Schroder UK Equity S Inc NAV |
47.79p |
-7.44% |
-3.73% |
-15.19% |
|
|
Schroders Responsible Value UK Equity S GBP Acc NAV |
68.61p |
1.92% |
14.25% |
20.18% |
|
|
Schroders Responsible Value UK Equity S GBP Dis NAV |
52.57p |
1.92% |
10.67% |
9.57% |
|
|
Schroders Responsible Value UK Equity Z GBP Acc NAV |
67.00p |
1.82% |
13.85% |
18.86% |
|
|
Schroders UK Alpha Income Retail A Acc NAV |
36.51p |
19.27% |
-16.32% |
0.00% |
|
|
Schroders UK Alpha Income Retail A Inc NAV |
35.05p |
19.34% |
-18.96% |
0.00% |
|
|
Scottish Widows European Equity Tracker X Pens Acc NAV |
246.80p |
-3.71% |
11.98% |
14.68% |
|
|
Scottish Widows SPW Multi Manger UK Equity B Acc NAV |
187.00p |
-1.32% |
11.58% |
20.33% |
|
|
Scottish Widows SPW Multi Manger UK Equity Growth B Acc NAV |
149.90p |
4.32% |
28.17% |
6.55% |
|
|
Scottish Widows SPW Multi Manger UK Equity Income A Acc NAV |
266.40p |
-6.72% |
2.50% |
14.29% |
n |
n |
Scottish Widows SPW Multi Manger UK Equity Income A inc NAV |
115.40p |
-7.61% |
-1.37% |
1.41% |
|
|
Scottish Widows SPW Multi Manger UK Equity Income B Acc NAV |
198.50p |
-0.10% |
21.93% |
24.61% |
|
|
Scottish Widows SPW Multi Manger UK Equity Income B Inc NAV |
126.90p |
-1.09% |
16.85% |
9.49% |
|
|
Scottish Widows SPW Multi Manger UK Equity Income C Acc NAV |
159.30p |
-6.73% |
2.51% |
15.10% |
|
|
Scottish Widows SPW Multi Manger UK Equity Income C Inc NAV |
112.10p |
-7.66% |
-1.41% |
2.09% |
|
|
Scottish Widows SPW Multi Manger UK Equity Income P Inc NAV |
171.30p |
-0.98% |
17.09% |
10.23% |
n |
n |
Scottish Widows SPW Multi Manger UK Equity Income X Acc NAV |
345.50p |
0.58% |
21.57% |
29.01% |
|
|
Scottish Widows UK Equity Income A Acc |
5,760.00p |
-2.60% |
12.13% |
14.38% |
n |
y |
Scottish Widows UK Equity Income A Inc |
691.80p |
-5.09% |
7.69% |
1.24% |
n |
y |
Scottish Widows UK Equity Income B Inc |
702.30p |
1.69% |
14.91% |
-15.59% |
n |
y |
Scottish Widows UK Equity Income C Inc |
807.00p |
-5.01% |
8.03% |
2.18% |
n |
y |
Scottish Widows UK Equity Income X Acc |
7,679.00p |
1.55% |
15.68% |
24.30% |
n |
y |
Slater Income A GBP Acc |
212.60p |
-4.22% |
9.98% |
5.56% |
|
|
Slater Income A Shares GBP Dis NAV |
137.32p |
-5.58% |
3.89% |
-10.11% |
|
|
Slater Income B Shares GBP Acc |
226.78p |
-4.10% |
10.52% |
7.22% |
|
|
Slater Income B Shares GBP Dis NAV |
146.57p |
-5.47% |
4.42% |
-8.86% |
|
|
Slater Income P Shares GBP Acc |
232.40p |
-4.03% |
10.80% |
8.03% |
|
|
Slater Income P Shares GBP Dis NAV |
150.38p |
-5.40% |
4.67% |
-8.02% |
|
|
Smith & Williamson SVS Albion OLIM Equity Income X Acc NAV |
325.60p |
5.65% |
11.62% |
-6.76% |
|
|
Smith & Williamson SVS Albion OLIM UK Equity Income C Inc NAV |
152.20p |
3.96% |
7.41% |
-17.64% |
|
|
Smith & Williamson SVS Albion Olim UK Equity Income Y Acc NAV |
n/a |
n/a |
n/a |
n/a |
|
|
Smith & Williamson SVS Albion Olim UK Equity Income Y Dis NAV |
n/a |
n/a |
n/a |
n/a |
|
|
Smith & Williamson SVS Albion Olim UK Equity Income Z Acc NAV |
n/a |
n/a |
n/a |
n/a |
|
|
Smith & Williamson SVS Albion Olim UK Equity Income Z Dis NAV |
n/a |
n/a |
n/a |
n/a |
|
|
Smith & Williamson UK Equity Growth B Acc NAV |
171.10p |
0.53% |
17.72% |
-6.67% |
|
|
Smith & Williamson Uk Equity Income Trust A Retl Inc NAV |
199.10p |
8.09% |
-8.96% |
-9.42% |
|
|
Smith & Williamson UK Equity Income Trust B Inc NAV |
112.50p |
8.28% |
-8.16% |
-7.10% |
|
|
Smith & Williamson UK Equity Income Y Dis NAV |
127.30p |
-3.05% |
1.68% |
0.00% |
|
|
St James's Place Equity Income Y GBP Acc |
441.25p |
0.00% |
23.05% |
-3.19% |
|
|
St James's Place UK Income H GBP Acc |
120.55p |
0.92% |
29.98% |
5.84% |
|
|
Standard Life UK Eqty Inc Unconstrained Platform 1 Retl Inc NAV |
59.65p |
1.45% |
-1.70% |
-20.13% |
|
|
Standard Life UK Equity Dis Uncon Institutional A Acc |
59.73p |
-8.48% |
0.00% |
0.00% |
|
|
Standard Life UK Equity Dis Uncon Institutional A Dis |
54.14p |
-8.50% |
0.00% |
0.00% |
|
|
Standard Life UK Equity Growth Institutional A Acc |
66.39p |
-6.48% |
0.00% |
0.00% |
|
|
Standard Life UK Equity High Disome Institutional A Acc |
63.82p |
-7.26% |
0.00% |
0.00% |
|
|
State Street UK Equity Tracker Acc NAV |
325.29p |
1.74% |
10.44% |
20.62% |
|
|
Stonehage Fleming UK Equity Income A Income |
171.90p |
5.07% |
18.75% |
2.02% |
|
|
Stonehage Fleming UK Equity Income B Income |
116.05p |
3.74% |
5.21% |
11.73% |
n |
n |
SWIP UK Equity Capped Type 2 |
179.60p |
0.11% |
0.56% |
1.64% |
n |
n |
SWIP UK Income B Acc NAV |
108.60p |
-1.80% |
2.34% |
37.35% |
n |
n |
T. Bailey Equity Income Institutional Acc NAV |
64.54p |
2.28% |
10.34% |
0.81% |
n |
n |
T. Bailey Equity Income Institutional Inc NAV |
247.19p |
0.53% |
4.96% |
-14.76% |
n |
y |
T. Bailey Equity Income Retail Acc NAV |
62.17p |
2.09% |
9.51% |
-1.43% |
n |
n |
T. Bailey Equity Income Retail Inc |
50.70p |
0.34% |
4.17% |
-16.68% |
n |
y |
Taylor Young Equity Income Acc |
180.26p |
0.68% |
-2.45% |
32.45% |
n |
y |
Taylor Young Equity Income Inc |
124.87p |
-2.36% |
-7.33% |
16.58% |
n |
y |
Thesis AllWeather A Acc NAV |
141.40p |
-7.70% |
-4.33% |
3.51% |
|
|
Thesis AllWeather B Acc NAV |
150.90p |
-12.77% |
-8.77% |
-0.33% |
|
|
Thesis AllWeather B Dis NAV |
139.80p |
-8.63% |
-5.03% |
0.94% |
|
|
Thesis New Court Equity Growth A GBP Acc NAV |
2,458.00p |
7.01% |
16.66% |
6.78% |
|
|
Thesis Overstone Global Equity Income FI GBP Acc NAV |
117.50p |
7.12% |
-0.54% |
6.18% |
|
|
Thesis Overstone Global Equity Income FI GBP Inc NAV |
117.50p |
7.12% |
-0.54% |
6.18% |
|
|
Thesis Overstone Global Equity Income FJ GBP Acc NAV |
117.50p |
7.12% |
-0.54% |
6.18% |
|
|
Thesis Overstone Global Equity Income FJ GBP Inc NAV |
117.50p |
7.12% |
-0.54% |
6.18% |
|
|
Thesis Overstone Global Equity Income I GBP Acc NAV |
278.40p |
-0.50% |
8.57% |
7.77% |
|
|
Thesis TM New Court Equity Growth B GBP Acc NAV |
2,471.00p |
7.02% |
16.72% |
7.06% |
|
|
Thesis TM New Court Equity Growth B GBP Dis NAV |
2,453.00p |
6.98% |
16.31% |
6.61% |
|
|
Thesis TM New Court Equity Growth C GBP Acc NAV |
2,480.00p |
7.03% |
16.87% |
7.45% |
|
|
Thesis TM New Court Equity Growth C GBP Dis NAV |
2,481.00p |
7.08% |
16.92% |
8.20% |
|
|
Thesis TM New Court Equity Growth D GBP Acc NAV |
2,492.00p |
7.09% |
17.00% |
7.74% |
|
|
Thesis TM New Court Equity Growth E GBP Acc NAV |
2,458.00p |
7.01% |
16.66% |
6.78% |
|
|
Threadneedle UK Eqty Alpha Income Instl Net Inc EUR NAV |
0.71 |
7.93% |
24.78% |
38.58% |
n |
y |
Threadneedle UK Equity Alpha Income Institutional Net Inc USD |
$0.69 |
0.94% |
4.83% |
-28.77% |
n |
y |
Threadneedle UK Equity Alpha Income Instl Income GBP Dis NAV |
69.19p |
-5.77% |
5.91% |
-6.14% |
n |
y |
Threadneedle UK Equity Alpha Income Retail Income GBP Dis NAV |
62.98p |
-5.87% |
5.37% |
-7.56% |
n |
y |
Threadneedle UK Equity Alpha Income Retail Net Inc USD |
$0.67 |
0.73% |
4.19% |
-29.92% |
n |
y |
Threadneedle UK Equity Alpha Income Rtl Net Inc EUR Acc NAV |
0.68 |
7.79% |
24.11% |
36.50% |
n |
y |
Threadneedle UK Equity Alpha Income Z Income GBP Dis NAV |
140.13p |
-5.69% |
6.18% |
-5.45% |
|
|
Threadneedle UK Equity Income Instl Net Inc EUR |
0.68p |
0.85% |
-4.28% |
0.00% |
|
|
Threadneedle UK Equity Income Retail Net Inc EUR |
0.64p |
0.59% |
-4.73% |
0.00% |
|
|
Threadneedle UK Monthly Income Institutional GBP Dis NAV |
107.87p |
-2.85% |
7.00% |
1.01% |
|
|
Threadneedle UK Monthly Income Retail GBP Dis NAV |
71.40p |
-3.00% |
6.57% |
-0.21% |
n |
y |
Threadneedle UK Monthly Income Z Income GBP Dis NAV |
130.60p |
-2.81% |
7.30% |
1.71% |
|
|
Treasury Capital ES Ardevora UK Income A Institutional Acc NAV |
206.66p |
5.41% |
27.01% |
6.58% |
|
|
Treasury Capital ES Ardevora UK Income A Institutional Dis NAV |
145.38p |
4.05% |
22.23% |
-5.85% |
|
|
Treasury Capital ES Ardevora UK Income B Retail Acc NAV |
201.38p |
5.35% |
26.70% |
5.78% |
|
|
Treasury Capital ES Ardevora UK Income B Retail Dis NAV |
128.03p |
1.71% |
-14.23% |
-19.78% |
|
|
UBS UK Equity Income A Net Acc |
76.86p |
0.07% |
-5.51% |
17.78% |
|
|
UBS UK Equity Income A Net Inc |
42.31p |
-1.26% |
-9.88% |
4.01% |
|
|
UBS UK Equity Income B Net Acc |
80.72p |
0.06% |
-5.46% |
17.82% |
|
|
UBS UK Equity Income B Net Dis NAV |
44.85p |
-1.25% |
-9.04% |
5.04% |
|
|
Unicorn UK Ethical Income A GBP Acc NAV |
132.56p |
-3.51% |
23.14% |
3.40% |
|
|
Unicorn UK Ethical Income A GBP Dis NAV |
92.04p |
-4.95% |
17.34% |
-11.28% |
|
|
Unicorn UK Ethical Income B Acc NAV |
140.53p |
-3.34% |
24.06% |
5.66% |
|
|
Unicorn UK Ethical Income B Dis NAV |
95.39p |
-4.78% |
18.21% |
-9.10% |
|
|
Unicorn UK Income A Retail Inc NAV |
214.82p |
-4.67% |
17.81% |
-11.36% |
n |
y |
Unicorn UK Income A Retl Acc NAV |
355.41p |
-3.30% |
23.63% |
3.24% |
|
|
Unicorn UK Income B Inst Inc NAV |
244.62p |
-4.50% |
18.96% |
-9.13% |
n |
y |
Unicorn UK Income B Instl Acc NAV |
403.25p |
-3.13% |
24.59% |
5.53% |
|
|
Unicorn UK Income O Acc NAV |
142.12p |
-3.30% |
23.66% |
3.19% |
|
|
Unicorn UK Income O Inc NAV |
89.42p |
-4.67% |
18.09% |
-11.12% |
|
|
Valu-Trac VT Downing Monthly Income Acc NAV |
229.14p |
-2.93% |
17.94% |
0.00% |
|
|
Valu-Trac VT Downing Monthly Income Inc NAV |
117.26p |
-4.10% |
12.86% |
0.00% |
|
|
Vanguard Active UK Equity A GBP Acc NAV |
11,354.30p |
1.24% |
12.38% |
-3.38% |
|
|
Vanguard Active UK Equity A GBP Dis NAV |
10,223.06p |
1.24% |
9.41% |
-9.45% |
|
|
Vanguard FTSE UK Equity Income Idx Inst Plus GBP Acc NAV |
16,324.77p |
-2.02% |
15.36% |
29.97% |
|
|
Vanguard FTSE UK Equity Income Idx Inst Plus GBP Inc NAV |
9,730.39p |
-4.51% |
9.60% |
10.64% |
|
|
Vanguard FTSE UK Equity Income Index GBP Acc NAV |
35,734.26p |
-2.04% |
15.31% |
29.88% |
|
y |
Vanguard FTSE UK Equity Income Index GBP Inc NAV |
16,858.47p |
-4.52% |
9.57% |
10.57% |
|
y |