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FUND PRICES - LUXEMBOURG FUNDS

Fund Name Currency Price Date updated
EBI Vantage World Lux 60 EUR* EUR 1220.47 12/04/2024
EBI Vantage World Lux 60 GBP* GBP 1255.83 12/04/2024
EBI Vantage World Lux 80 EUR* EUR 1349.55 12/04/2024
EBI Vantage World Lux 80 GBP* GBP 1275.3 12/04/2024
*Not available for products sold before 2019

HIGHER RISK

Fund Name Currency Price Date updated
Japanese Equity GBP 1.425 18/04/2024

ABOVE AVERAGE RISK

Fund Name Currency Price Date updated
American GBP 2.985 18/04/2024
European Equity GBP 2.364 18/04/2024
Global GBP 5.148 18/04/2024
International Equity GBP 4.762 18/04/2024
UK Equity GBP 2.614 18/04/2024

AVERAGE RISK

Fund Name Currency Price Date updated
Baillie Gifford Balanced Managed GBP 3.3665 18/04/2024
DWS Balanced Managed GBP 2.3044 18/04/2024
External Balanced Collection GBP 3.363 18/04/2024
Merrill Lynch Balanced Managed GBP 2.3104 18/04/2024
Mixed GBP 4.649 18/04/2024
Newton Balanced Managed GBP 2.8044 18/04/2024

BELOW AVERAGE RISK

Fund Name Currency Price Date updated
Global Bond GBP 2.48 18/04/2024
UK Corporate Bond GBP 1.8 18/04/2024
UK Deferred Distribution GBP 3.679 18/04/2024
UK Fixed Interest GBP 3.608 18/04/2024
UK Government Bond GBP 1.978 18/04/2024

LOW RISK

Fund Name Currency Price Date updated
Short Term Bond GBP 1.377 18/04/2024

MINIMAL RISK

Fund Name Currency Price Date updated
UK Cash GBP 1.79117 18/04/2024

LUXEMBOURG FUNDS - NON-UK SALES

ABOVE AVERAGE RISK

Fund Name Currency Price Date updated
European Tactical EUR 1.3477 18/04/2024

BELOW AVERAGE RISK

Fund Name Currency Price Date updated
Euro Bond EUR 1.8879 18/04/2024