Fund Prices

Returns are all quoted net of management fees

Fund Code Fund Name Price Date Alert Bid Price € Cent Offer Price € Cent Return YTD Return Since Launch p.a. Launch Date Return Since Launch
5A Indexed AAA/AA >10 Year Bond Fund 01/06/2023 106.4 106.4 1.92% 0.6% 22/05/2013 6.1%
5AA Passive AAA/AA >10yr Bond Fund S3 01/06/2023 124.7 124.7 1.88% 1.7% 29/06/2010 24.7%
5AY5 Indexed > 5 Year AAA/AA Bond Fund Series 2 01/06/2023 104.8 104.8 2.34% 0.4% 03/04/2013 4.6%
5Y5A Indexed Eurozone AAA/AA>5 Yr Bond 01/06/2023 104.2 104.2 2.36% 0.4% 11/12/2012 4.1%
AA10 Indexed Eurozone AAA/AA >10 Yr(ex-Bel) 01/06/2023 107.3 107.3 1.9% 0.7% 28/11/2012 7.3%
AA11 +10yr AAA-AA EMU Ex-Belgium 01/06/2023 107.9 107.9 1.98% 0.7% 28/11/2012 7.9%
AA3 Indexed Eurozone AAA/AA>10 Yr Bond 01/06/2023 130.6 130.6 1.95% 2.2% 25/04/2011 30.6%
AA4 Passive AAA/AA >10yr Bond Fund S4 01/06/2023 127.5 127.5 1.92% 1.9% 17/06/2010 27.2%
AA5 Passive AAA/AA >10yr Bond Fund S5 01/06/2023 124.4 124.4 1.97% 1.7% 06/07/2010 24.4%
AA6 Annuity Matching 01/06/2023 128.4 128.4 2.64% -2.9% 01/08/2017 -15.9%
AA9 Passive > 10 Year AAA/AA Bond Fund S6 01/06/2023 113 113 1.99% 1.2% 20/08/2013 12.4%
AAAT Indexed EMU Govt > 10 Year AAA Bond Fund 01/06/2023 79.4 79.4 1.93% -4.9% 17/10/2018 -20.9%
AAEA Aon Active Global Equity Fund (Series A) 01/06/2023 161.7 161.7 9.04% 6.5% 28/08/2015 62.7%
AAG Active Growth in Global Equities 18/04/2023
Nearest actual Price Date differs to the expected price date: 18/04/2023
150.5 150.5 9.14% 7.4% 01/07/2017 51%
AAP Passive > 10 Year AAA Bond Fund S2 10/12/2020
Nearest actual Price Date differs to the expected price date: 10/12/2020
291 291 8.58% 7.8% 16/02/2011 108.9%
AAQ Indexed Eurozone AAA>10 Yr Bond 01/06/2023 135.1 135.1 2.04% 2.5% 16/02/2011 35.1%
ABFA Aon Balanced Fund (Series A) 01/06/2023 158.3 158.3 3.19% 6.5% 12/02/2016 58.3%
ABS Absolute Alpha Fund 01/06/2023 118.7 118.7 5.51% 1.6% 17/11/2011 19.7%
ACFA Aon Cautious Growth Fund (Series A) 01/06/2023 101.3 101.3 0.8% 0.2% 17/06/2015 1.3%
ACS Cash Fund 18/04/2023
Nearest actual Price Date differs to the expected price date: 18/04/2023
97.7 97.7 0.51% -0.4% 01/07/2017 -2.2%
ACW2 Indexed All Country World Equity Fund. 01/06/2023 151.5 151.5 8.14% - 09/07/2018 0%
ACW3 Indexed All Country World Equity Fund S3 14/01/2022
Nearest actual Price Date differs to the expected price date: 14/01/2022
152.8 152.8 -1.93% 13.1% 08/08/2018 53%
ADGA Aon Diversified Growth Fund (Series A) 01/06/2023 108.5 108.5 1.78% 1% 18/06/2015 8.6%
AE1 Pension Indx Eurobond Fund S2 04/01/2021
Nearest actual Price Date differs to the expected price date: 04/01/2021
232.4 232.4 0.13% 5.4% 07/12/2004 131.9%
AEMP Aon Passive Emerging Market Equity Fund (Ser. A1) 01/06/2023 113.9 113.9 0.89% 2.1% 12/04/2017 13.9%
AFO Annuity Objective Fund 01/06/2023 83.9 83.9 2.69% -3.5% 16/05/2018 -16.4%
AGE Dynamic Global Value Fund 01/06/2023 542.1 542.1 7.03% 12.4% 04/12/2008 442.1%
AGFA Aon Growth Fund (Series A) 01/06/2023 165.8 165.8 3.69% 6.5% 10/06/2015 65.8%
AHCA Aon Cash Fund (Series A) 01/06/2023 97.2 97.2 0.93% -0.4% 15/06/2015 -2.8%
AHEA Aon Passive Global Equity (Hedged) Fund (Series A) 01/06/2023 151.3 151.3 9.16% 7.2% 15/06/2017 51.3%
AILA Aon Inflation Linked Bond Fund (Series A) 01/06/2023 103.1 103.1 2.79% 0.6% 27/02/2018 3.3%
AIS Sustainable Equity fund 01/06/2023 107.8 107.8 8.67% 2% 22/06/2021 4%
ALLEUR Indexed All-Mat Euro Govt Bond Fund 01/06/2023 80.8 80.8 2.54% -8.2% 27/11/2020 -19.3%
AMT Annuity Matching Fund 01/06/2023 113.9 113.9 1.97% 1.2% 30/08/2012 13.9%
ANOB Annuity Objective Fund (Ser.15) 01/06/2023 135 135 2.66% -4.3% 28/11/2018 -18%
AOS Annuity Objective Fund S2 01/06/2023 80.8 80.8 2.67% - 09/07/2018 0%
AP6 Cash Fund S4 27/01/2022
Nearest actual Price Date differs to the expected price date: 27/01/2022
112.8 112.8 0% -0.5% 26/05/2015 -3.2%
APBA Aon Pre-Retirement Bond Fund (Series A) 01/06/2023 91.1 91.1 2.02% -1.2% 10/06/2015 -8.9%
APEA Aon Passive Global Equity Fund (Series A) 01/06/2023 209.3 209.3 9.18% 10% 07/09/2015 109.3%
ARA Real Asset Fund 19/10/2021
Nearest actual Price Date differs to the expected price date: 19/10/2021
117.2 117.2 9.12% 3.7% 01/07/2017 16.7%
ASO Sustainable Equity Fund 01/06/2023 95.1 95.1 8.69% -4.2% 04/04/2022 -4.9%
AWE Passive Growth in Global Equities 18/04/2023
Nearest actual Price Date differs to the expected price date: 18/04/2023
152.5 152.5 8.46% 7.1% 01/07/2017 48.5%
BCI 50/50 Global Equity Fund 01/06/2023 293 293 10.69% 10% 26/03/2012 191%
BKH Blackrock Euro Dynamic Diversified Grow 01/06/2023 109.8 109.8 1.57% 1.2% 09/06/2015 9.9%
BLS Indexed Inflation Linked (L-Series) 01/06/2023 138.9 138.9 3.43% 3.1% 26/07/2012 38.9%
BLS1 Inflation Linked Bond Fund Series L 11/03/2022
Nearest actual Price Date differs to the expected price date: 11/03/2022
126.1 126.1 1.86% 3.5% 18/06/2015 25.7%
BNS1 Global Consensus Fund (BNS1) 01/06/2023 347.8 347.8 6.33% 8.5% 12/06/2013 126.3%
BNS2 Indexed Global Equity Fund (BNS2) 01/06/2023 443.7 443.7 9.18% 11.1% 12/06/2013 187%
BNS5 Cash Fund (BNS5) 01/06/2023 113.8 113.8 0.98% -0.3% 08/11/2016 -2%
BNS6 Annuity Matching Fund (BNS) 01/06/2023 206.3 206.3 2.69% -3% 08/11/2016 -18.1%
BNS7 Blended Diversified Growth Fund (BNS) 01/06/2023 103.2 103.2 0.29% 0.5% 10/10/2016 3.2%
CBF2 Indexed Corporate Bond Fund 01/06/2023 140.1 140.1 2.64% 2.4% 22/05/2009 40.1%
CBF3 Passive Corporate Bond Fund S3 01/06/2023 142.8 142.8 2.66% 2.6% 03/06/2009 42.8%
CBF7 Euro Corporate Bond Fund 01/06/2023 112.6 112.6 2.74% 1.1% 16/10/2012 12.7%
CBF8 Passive Corporate Bond Fund S8 01/06/2023 107.4 107.4 2.68% 0.7% 13/05/2013 7.4%
CBF9 Indexed Corporate Bond Fund S2 01/06/2023 100.4 100.4 2.66% 0% 29/08/2014 0.4%
CG3 Cautious Growth Fund 14/01/2022
Nearest actual Price Date differs to the expected price date: 14/01/2022
116.6 116.6 -1.19% 4.6% 08/08/2018 16.6%
CGF1 Cautious Growth Fund 01/06/2023 128 128 2.89% 3.5% 06/04/2016 27.9%
CNB Connect Multi-Bond Strategy 01/06/2023 106 106 0.66% 0.6% 15/05/2014 5.6%
CNC Connect Cash Strategy 01/06/2023 97 97 0.83% -0.3% 15/05/2014 -3%
CNE Connect Performance Equity Strategy 01/06/2023 210.6 210.6 7.56% 8.7% 15/05/2014 112.1%
CNF1 Consolidation Fund 01/06/2023 114.5 114.5 2.14% 1.9% 06/04/2016 14.5%
CNG Connect Higher Risk Strategy 01/06/2023 166.2 166.2 4.73% 5.8% 15/05/2014 66.7%
CNM Connect Balanced Risk Strategy 01/06/2023 154.4 154.4 4.18% 5% 15/05/2014 55%
CNP Connect Pension Purchase Strategy 01/06/2023 104.7 104.7 2.65% 0.4% 15/05/2014 3.9%
CNU Connect Lower Risk Strategy 01/06/2023 106.9 106.9 0.56% 0.7% 15/05/2014 6.7%
COM Indexed Enhanced Commodity Fund 14/08/2019
Nearest actual Price Date differs to the expected price date: 14/08/2019
62.4 62.4 0.97% -3.8% 23/04/2007 -37.6%
CX7 Consensus ex-Property Fund S7 14/01/2022
Nearest actual Price Date differs to the expected price date: 14/01/2022
290.5 290.5 -2.39% 9.8% 11/08/2010 190.5%
DAL Diversified Alternative Fund 01/06/2023 110.2 110.2 -0.36% 0.6% 01/08/2007 10.2%
DCF Multi Asset Portfolio Cautious (DCF) 01/06/2023 123.2 123.2 2.92% 1.3% 12/09/2007 23.2%
DCPB Annuity Matching Strategy 01/06/2023 133.6 133.6 2.69% 2.3% 16/06/2010 33.6%
DCPC Cash Strategy 01/06/2023 99 99 0.92% -0.2% 21/02/2013 -1.9%
DCPE Global Equity Strategy 01/06/2023 267.2 267.2 8.27% 9.8% 12/11/2012 167.7%
DCPM Multi Asset Strategy 01/06/2023 142.4 142.4 2.96% 3.5% 28/02/2013 41.7%
DIF Annuity Matching Fund 01/06/2023 108.4 108.4 1.98% 0.8% 22/01/2013 8.4%
DMF Discretionary Managed Fund 01/06/2023 284.9 292.8 3.49% 5.8% 26/05/2004 191%
DPA Annuity Objective Fund . 01/06/2023 82.3 82.3 2.62% - 20/06/2018 0%
DPB Indexed Eurozone Government Bond Fund 01/06/2023 88.5 88.5 3.27% - 20/06/2018 0%
DPC Cash Fund 01/06/2023 98.7 98.7 0.82% - 20/06/2018 0%
DPE Passive Equity Fund 01/06/2023 151.1 151.1 8.32% 8.5% 03/04/2018 52.2%
DPG Passive Global Equity Fund 01/06/2023 142.4 142.4 8.29% - 20/06/2018 0%
DPM Indexed Emerging Market Fund. 01/06/2023 107 107 0.85% - 20/06/2018 0%
DRF ILIM Indexed Alternatives Fund 01/06/2023 145.6 145.6 -0.34% 2.7% 18/05/2009 45.2%
EA3 Active Managed Fund Gross 01/06/2023 1298.6 1366.9 3.33% 6.2% 31/12/1995 426.2%
EC3 Cash Fund 01/06/2023 1352.6 1423.8 0.61% 3.7% 31/12/1985 290.5%
EC55 Pension Consensus Fund (S.55) 01/06/2023 755.6 755.6 6.39% 7.2% 20/03/2014 90.2%
ECF Consensus Fund 01/06/2023 749.6 789.1 6.36% 6.9% 31/12/1995 521.6%
ECH Cash Fund Series H 01/06/2023 103 103 0.59% 0.2% 24/07/2009 3%
ECN Exempt Consensus Fund 01/06/2023 748.6 748.6 6.35% 6.9% 31/12/1995 520.7%
EDZ Indexed Euro Short Dated Bond Fund Series 1 01/06/2023 98.5 98.5 1.44% -0.2% 20/08/2013 -1.5%
EE3 Equity Managed Fund 01/06/2023 6471.6 6812.2 6.94% 6.7% 18/10/1996 459.6%
EE3 Equity Managed Fund 01/06/2023 6471.6 6812.2 6.94% 6.7% 18/10/1996 459.6%
EEM Exempt Equity Fund 01/06/2023 293.9 293.9 7.11% 7.3% 07/02/2008 193.9%
EF3 Fixed Interest Fund 01/06/2023 3152.1 3318 2.98% 4.6% 31/12/1995 241.1%
EF3 Fixed Interest Fund 01/06/2023 3152.1 3318 2.98% 4.6% 31/12/1995 241.1%
EG75 Capital Protection Fund 01/06/2023 152.1 152.1 0% 1.2% 28/06/2021 2.3%
EGCF eircom General Cash Fund 01/06/2023 98.4 98.4 0.92% -0.2% 29/10/2014 -1.6%
EGY Capital Protection Fund 2 01/06/2023 149.9 149.9 0% 2.7% 03/03/2008 49.9%
EM2 Exempt Managed Fund S2 01/06/2023 8208.2 8640.2 3.33% 6.3% 31/12/1995 428.7%
EMC1 Diversified Growth Fund (Active) 01/06/2023 107.1 107.1 0.85% 1% 10/06/2013 11%
EMC3 Cash Fund 01/06/2023 113.8 113.8 0.89% -0.3% 09/05/2017 -1.7%
EME5 Emerging Market Equity Fund S5 01/06/2023 159.5 159.5 0.89% 4.7% 14/06/2013 57.5%
EMG Irish Life MSCI Emerging Markets Equity Fund S3 01/06/2023 177.1 177.1 0.85% 4.4% 28/02/2010 77.1%
EMT Emerging Market Indexed Fund 01/06/2023 143.4 143.4 0.77% 3.9% 04/11/2013 43.7%
EMW Irish Life MSCI Emerging Markets Equity 01/06/2023 161.1 161.1 0.81% 5% 21/06/2013 62.1%
EP2PC Exempt Property S2 CB 31/05/2023
Nearest actual Price Date differs to the expected price date: 31/05/2023
2447.4 2576.2 -4.26% 6.6% 31/12/1995 483%
ES12 Indexed Global Equity Fund (DB) 01/06/2023 329.2 329.2 9.12% 10.3% 05/04/2011 229.9%
ES15 20 Year Duration Match Fund (DB) 01/06/2023 126.7 126.7 1.69% 2% 19/09/2011 26.7%
ES21 Easy Steps Inflation Linked Bond - French 2040 01/06/2023 127.4 127.4 3.41% 2.4% 24/05/2013 26.8%
ES71 French 2047 Linker 01/06/2023 98.9 98.9 3.78% -0.2% 07/02/2018 -1.1%
ES72 German Inflation Linked 2046 Fund S2 01/06/2023 109.1 109.1 5.41% 1.7% 07/02/2018 9.1%
ES96 Indexed > 10 Euro Corporate Bond Fund 01/06/2023 97.6 97.6 4.27% - 12/12/2022 -2.4%
EZ9 Indexed Eurozone Equity Fund S9 01/06/2023 272.5 272.5 12.23% 8.9% 29/08/2011 172.5%
EZB Indexed Eurozone Equity Fund 25/11/2019
Nearest actual Price Date differs to the expected price date: 25/11/2019
178.3 178.3 23.65% 5.3% 19/08/2008 78.3%
EZC Indexed Eurozone Equity Fund S8 01/06/2023 222.3 222.3 12.27% 6.9% 21/06/2011 122.3%
EZI Indexed Eurozone Equity Fund S4 01/06/2023 344.4 344.4 12.18% 6.4% 22/07/2003 244.4%
EZR Eurozone Equity Fund 01/06/2023 233.7 233.7 12.25% 6.6% 23/03/2010 133.7%
F4F Cautious Return & Risk 01/06/2023 130.4 130.4 3.16% 1.7% 01/08/2017 10.1%
FB1 Horizon Growth Fund 01/06/2023 150.1 150.1 4.24% 5.3% 25/09/2015 48.9%
FB3 Horizon Passive Equity Fund 01/06/2023 208.7 208.7 8.25% 9.8% 25/09/2015 105.6%
FB4 Horizon Annuity Fund 01/06/2023 86.6 86.6 1.88% -1.7% 25/09/2015 -12.5%
FB6 Horizon Cash Fund 01/06/2023 97.9 97.9 0.93% -0.3% 25/09/2015 -2.1%
FFA Indexed 50/50 Equity Fund S2 01/06/2023 349.4 349.4 10.64% 7% 25/02/2005 245.6%
FFE60 Indexed 50 / 50 Equity Fund (S60) 01/06/2023 132.6 132.6 10.59% 11.3% 11/09/2020 33.8%
FFF Indexed 50/50 Equity Fund S3 23/12/2020
Nearest actual Price Date differs to the expected price date: 23/12/2020
269 269 2.05% 6.4% 18/02/2005 169.3%
FFK Indexed 50/50 Equity Fund S11 01/06/2023 403.5 403.5 10.73% 10% 16/10/2008 303.5%
FIN Passive Inflation Linked Long Bond S3 01/06/2023 227 227 3.42% 5.8% 26/11/2008 127%
FJ4 Lifestyle ARF Fund 14/05/2020
Nearest actual Price Date differs to the expected price date: 14/05/2020
103.8 103.8 -7.32% 1.3% 27/07/2017 3.8%
FULD Fulcrum Div Abs Return Fund (TW) 01/06/2023 110 110 -3.42% 1.3% 19/01/2016 9.8%
FWJ Indexed World Equity Hedged Fund S2 01/06/2023 279.7 279.7 9.04% 8.1% 25/02/2010 179.7%
GAE Setanta Global Equity Fund S4 01/06/2023 308.5 308.5 7.12% 3.9% 31/12/2000 134.4%
GAF AXA Partners CLP Annuity Matching Fund 01/06/2023 90.4 90.4 1.92% -1.3% 27/11/2014 -10.2%
GAM Multi Asset Portfolio - Balanced S3 01/06/2023 325.5 325.5 4.56% 4.2% 31/12/2000 151%
GAU Indexed 50/50 Equity Fund S9 01/06/2023 440.8 440.8 10.81% 7.6% 30/09/2004 289.7%
GCB Global Consensus Fund S5 25/02/2022
Nearest actual Price Date differs to the expected price date: 25/02/2022
226.4 226.4 -6.02% 7.8% 18/04/2011 126.4%
GCF Global Consensus Fund 01/06/2023 305.1 305.1 7.24% 8.1% 14/04/2009 202.7%
GCG Global Consensus Fund S2 01/06/2023 296.1 296.1 7.36% 7.9% 11/06/2009 189.4%
GCPM Global Consensus Partial Hedge M 01/06/2023 211.8 211.8 6.33% 7.5% 13/02/2013 111.4%
GEF Active Global Equity Fund S4 01/06/2023 238.8 238.8 7.04% 9.5% 28/10/2013 138.8%
GF1 Moderate Growth Fund S6 01/06/2023 218.4 218.4 3.9% 6.4% 11/07/2011 109.6%
GFG Secured Performance Fund S1 01/06/2023 574 574 1.9% 5.7% 31/12/1995 352%
GFN Secured Performance Fund 01/06/2023 537.5 537.5 1.8% 5.4% 31/12/1995 323.2%
GFS Secured Performance Fund S2 01/06/2023 585.8 585.8 1.9% 6.4% 26/03/1999 347.5%
GFW Global Consensus Fund (World Equities) 01/06/2023 267 267 6.25% 7.8% 13/12/2010 154.8%
GFY Global Consensus Fund (World Equities) S4 01/06/2023 212.6 212.6 6.25% 7.9% 12/07/2013 112.6%
GGF AXA Partners CLP Growth Seeking Fund 01/06/2023 173.8 173.8 9.17% - 26/11/2014 0%
GH1 Global Consensus Equity HEDGED 01/06/2023 223.9 223.9 6.21% 6.4% 19/05/2010 123.9%
GH2 Global Consensus Equity S2 HEDGED 01/06/2023 227.5 227.5 6.31% 6.6% 13/07/2010 127.5%
GPB AXA Partners CLP Long Bond Fund 01/06/2023 95.9 95.9 3.12% -0.6% 27/11/2014 -5%
GPH Global Consensus (Partial Hedged) Fund 01/06/2023 209.7 209.7 7.1% 7.6% 09/09/2013 103.4%
GPI Moderate Return & Risk 06/08/2019
Nearest actual Price Date differs to the expected price date: 06/08/2019
159.4 159.4 12.17% 8% 24/07/2013 59.4%
GPX Global Consensus (Partial Hedged) Ex Property Fund 01/06/2023 224.7 224.7 7.05% 8% 23/11/2012 124.7%
GSI AXA Partners CLP Stable Investment Fund 01/06/2023 97.5 97.5 0.93% -0.3% 27/11/2014 -2.5%
GW10 Global Consensus Fund S2 2010 25/05/2023
Nearest actual Price Date differs to the expected price date: 25/05/2023
268.3 268.3 5.05% 8.2% 27/10/2010 168.3%
GWC Medium Risk/Return fund 14/01/2022
Nearest actual Price Date differs to the expected price date: 14/01/2022
232 232 -1.69% 9.1% 02/05/2012 132%
GWF AXA Partners CLP 70/30 Balanced Fund 01/06/2023 148.1 148.1 7.32% 4.7% 27/11/2014 47.7%
HGF1 High Growth Fund 14/01/2022
Nearest actual Price Date differs to the expected price date: 14/01/2022
162.9 162.9 -1.57% 8.8% 06/04/2016 62.6%
HICQ Inflation Linked All Maturities Fra & Ger S1 01/06/2023 102.8 102.8 2.7% 0.4% 27/03/2015 3.1%
HRGC Traditional Consensus Fund 01/06/2023 143 143 6.56% 4.5% 10/06/2015 41.6%
HRIW High Growth Fund 01/06/2023 191.9 191.9 9.16% 8.4% 10/06/2015 90%
I25 Irish Life MSCI Emerging Markets Series P 01/06/2023 171.2 171.2 0.82% 4.7% 24/08/2011 71.2%
IAE Indexed All Country Equity Fund. 01/06/2023 139.6 139.6 8.22% 7.3% 14/09/2018 39.6%
ICF2 International Cash Fund 01/06/2023 96.5 96.5 0.84% -0.3% 21/12/2010 -3.5%
ICF4 International Cash Fund S4 01/06/2023 97.1 97.1 0.83% -0.2% 31/01/2011 -2.9%
ICS1 ICS Growth Fund 01/06/2023 128.4 128.4 4.14% 4.1% 21/04/2017 28.1%
ICS2 ICS Equity Fund 01/06/2023 163.1 163.1 8.16% 8.2% 21/04/2017 62.3%
ICS3 ICS Annuity Fund 01/06/2023 80.9 80.9 1.89% -3.4% 21/04/2017 -18.9%
ICS4 ICS Cash Fund 01/06/2023 97.6 97.6 0.93% -0.4% 21/04/2017 -2.4%
IDGF Investec DGF 01/06/2023 102.9 102.9 0% 0.5% 19/05/2017 2.9%
IE1 Indexed European Equity Fund S1 01/06/2023 200.3 200.3 10.85% 7.7% 12/12/2013 101.7%
IEM Indexed Emerging Market Equity fund 01/06/2023 208.3 208.3 0.77% 4% 30/04/2006 95%
IF2 Indexed 50/50 Equity Fund S10 14/01/2022
Nearest actual Price Date differs to the expected price date: 14/01/2022
278.4 278.4 -1.59% 7.6% 21/02/2008 178.4%
IG2 Indexed Global Equity Fund S2 01/06/2023 463.1 463.1 8.89% 5.3% 31/03/1998 268.4%
IG4 Indexed Global Equity S10 01/06/2023 295.1 295.1 9.05% 7.3% 21/02/2008 195.1%
IGA Indexed Global Equity Fund S4 01/06/2023 337 337 9.06% 7% 11/07/2005 236%
IGE Indexed Global Equity Fund 01/06/2023 500.6 500.6 8.99% 5.4% 31/03/1998 274.7%
IGH Indexed Global Equity 01/06/2023 264.1 264.1 9.09% 6.1% 20/12/2006 164.1%
IGK Indexed Global Equity Fund S8 01/06/2023 217.7 217.7 9.07% 9.1% 20/06/2014 117.5%
IHC Indexed World Equity Hedged Fund S6 01/06/2023 285.4 285.4 9.06% 8.5% 12/07/2010 185.4%
IHF Indexed World Equity Hedged Fund S7 01/06/2023 288.7 288.7 9.15% 8.3% 26/01/2010 188.7%
IHG Indexed World Equity Hedged Fund S8 01/06/2023 263.9 263.9 9.09% 7.6% 22/03/2010 163.6%
IHJ Indexed World Equity Hedged Fund S5 01/06/2023 255.4 255.4 9.15% 8.2% 21/06/2011 155.4%
IHL Indexed Euro Hedged Global Equity Fund S2 01/06/2023 245.4 245.4 9.12% 7.8% 05/07/2011 145.6%
IHV Indexed World Equity Hedged Fund S19 01/06/2023 167 167 9.15% 6.4% 07/04/2015 66.3%
IHW Indexed World Equity Hedged Fund S10 01/06/2023 277.4 277.4 9.17% 8.4% 28/09/2010 177.4%
IIA Indexed Irish Equity Fund S2 01/06/2023 228.6 228.6 21.27% 4.4% 11/08/2004 126.3%
IIH Indexed Irish Equity Fund S6 01/06/2023 183.7 183.7 21.82% 4.1% 04/06/2008 83.7%
IIJ Indexed Irish Equity Series J 11/11/2020
Nearest actual Price Date differs to the expected price date: 11/11/2020
384.8 384.8 1.45% 11.9% 20/11/2008 284.8%
IIM Indexed Inflation Linked Bond Fund 01/06/2023 145.4 145.4 3.49% 2.4% 27/07/2007 45.4%
IL2 Passive Inflation Linked Long Bonds 01/06/2023 195.3 195.3 3.44% 3.9% 31/01/2006 95.1%
IMV2 Minimum Volatility Equity Fund 01/06/2023 157.5 157.5 1.09% 6.8% 21/06/2016 57.5%
INCH Cash Fund S5 01/06/2023 98.2 98.2 0.92% -0.2% 14/01/2016 -1.8%
INGE Global Equity Fund S2 18/03/2020
Nearest actual Price Date differs to the expected price date: 18/03/2020
112.7 112.7 -27.06% 3% 14/01/2016 13%
IPFA Irish Property Fund (Series A) 01/06/2023 96.3 99.3 -4.18% -0.8% 17/10/2018 -3.7%
IPG Indexed World (Partial Hedged) Equity Fund 01/06/2023 266.5 266.5 9.13% 9.9% 21/01/2013 166.5%
IPH Index Global Equity (Partial Currency Hedge) fund 01/06/2023 292.1 292.1 9.07% 9.7% 06/06/2011 204.6%
IPH1 Passive Global Equity 01/06/2023 286.3 286.3 8.2% 8% 01/08/2017 56.4%
IW17 Indexed World Equity Fund S17 01/06/2023 191.1 191.1 9.2% 8.6% 18/06/2015 92.3%
IWB Indexed World Equity Fund 01/06/2023 285.3 285.3 8.98% 7% 01/11/2007 185.3%
IWE Indexed World Equity Fund 01/06/2023 434.6 434.6 9.17% 8.4% 31/03/2005 334.2%
IWE55 Indexed World Equity Fund (S.55) 01/06/2023 135.6 135.6 9% 10.9% 20/07/2020 34.4%
IWG Indexed World Equity Fund S3 01/06/2023 354.1 354.1 9.09% 8.6% 29/02/2008 254.1%
IWH Indexed World Equity Fund S4 01/06/2023 374.9 374.9 9.14% 9.1% 15/04/2008 274.9%
IWL Indexed World Equity Fund S11 01/06/2023 358.8 358.8 9.12% 11.8% 25/10/2011 263.5%
IWO Indexed World Equity Fund S7 01/06/2023 365.4 365.4 9.11% 10.6% 12/07/2010 265.4%
JE1 JE Growth Fund 01/06/2023 145.4 145.4 4.15% 4.6% 31/01/2015 45.8%
JE2 JE Equity Fund 01/06/2023 211.1 211.1 8.26% 9.1% 19/12/2014 109.4%
JE3 JE Annuity Fund 01/06/2023 88.1 88.1 1.97% -1.5% 19/12/2014 -11.8%
JE4 JE Cash Fund 01/06/2023 97.6 97.6 0.93% -0.3% 19/12/2014 -2.4%
KCPF Capital Protection Fund 01/06/2023 150 150 0% 1.5% 31/10/2018 7.3%
KSPF Secured Performance Fund 01/06/2023 537.5 537.5 1.8% 6.8% 31/10/2018 35.4%
LAB Multi Asset Portfolio Growth (LAB) 01/06/2023 136.5 136.5 4.68% 2% 15/10/2007 36.5%
LAF Multi Asset Portfolio Growth (LAF) 01/06/2023 152.8 152.8 4.59% 2.8% 31/05/2006 60%
LC22 Lifestyle Fund 2022 S3 12/11/2020
Nearest actual Price Date differs to the expected price date: 12/11/2020
173.4 173.4 2.66% 7.7% 14/06/2013 73.2%
LC24 Lifestyle Fund: 2024 14/01/2022
Nearest actual Price Date differs to the expected price date: 14/01/2022
150.1 150.1 -1.44% 6% 26/01/2015 49.8%
LC25 Lifestyle Fund 2025 S3 01/06/2023 119.5 119.5 4.46% 3.5% 27/02/2018 19.9%
LC26 Lifestyle Fund 2026 S3 14/12/2020
Nearest actual Price Date differs to the expected price date: 14/12/2020
121.9 121.9 3.13% 5.7% 11/05/2017 22.1%
LC27 Lifestyle Fund 2027 S3 01/06/2023 121.6 121.6 5.1% 3.7% 11/01/2018 21.8%
LC28 Lifestyle Fund 2028 S3 14/01/2022
Nearest actual Price Date differs to the expected price date: 14/01/2022
140.8 140.8 -1.88% 11.7% 10/12/2018 40.8%
LC29 Lifestyle Fund 2029 S3 14/01/2022
Nearest actual Price Date differs to the expected price date: 14/01/2022
116.8 116.8 -1.93% 7.7% 17/01/2020 15.9%
LCF Multi Asset Portfolio Balanced (LCF) 01/06/2023 150.7 150.7 3.93% 2.6% 31/05/2006 55.5%
LE1 LP Growth Fund 01/06/2023 139 139 4.2% 4.3% 06/05/2015 40.4%
LE2 LP Annuity Fund 01/06/2023 83.9 83.9 1.94% -2% 06/05/2015 -14.7%
LE3 LP Equity Fund 01/06/2023 182.8 182.8 8.23% 8% 06/05/2015 85.8%
LE4 LP Cash Fund 01/06/2023 97.7 97.7 0.93% -0.3% 06/05/2015 -2.3%
LE5 LP Cautious Growth Fund 01/06/2023 108.3 108.3 2.36% 1.5% 10/05/2018 8.1%
LGO Growth Fund N 01/06/2023 134.5 134.5 4.43% 5.3% 25/08/2017 34.8%
LIH Indexed Inflation Linked Bond Fund Series H 01/06/2023 110.2 110.2 3.09% 0.8% 17/05/2011 10.2%
LMA3 Cautious Multi Asset Portfolio 01/06/2023 133.1 133.1 2.94% 3.3% 06/10/2014 32.8%
LS27 Lifestyle Fund 2027 S2 14/01/2022
Nearest actual Price Date differs to the expected price date: 14/01/2022
134.4 134.4 -1.75% 7.7% 11/01/2018 34.7%
LY22 Lifestyle Fund - 2022 01/06/2023 97.2 97.2 3.29% -0.8% 11/09/2020 -2.1%
LY24 Lifestyle Fund - 2024 22/02/2023
Nearest actual Price Date differs to the expected price date: 22/02/2023
100.4 100.4 2.03% 0.6% 11/09/2020 1.4%
LY25 Lifestyle Fund - 2025 01/06/2023 104 104 4.42% 1.8% 11/09/2020 5.1%
LY26 Lifestyle Fund - 2026 01/06/2023 105.7 105.7 4.76% 2.5% 11/09/2020 6.9%
LY27 Lifestyle Fund - 2027 01/06/2023 106.4 106.4 5.03% 2.7% 11/09/2020 7.6%
LY28 Lifestyle Fund - 2028 01/06/2023 108.2 108.2 5.46% 3.4% 11/09/2020 9.5%
LY29 Lifestyle Fund - 2029 01/06/2023 107.4 107.4 5.6% 3.1% 11/09/2020 8.7%
LY30 Lifestyle Fund - 2030 01/06/2023 99 99 6.11% -0.6% 16/02/2021 -1.3%
LY31 Lifestyle Fund - 2031 01/06/2023 92 92 6.6% -5.6% 20/12/2021 -8%
LY32 Lifestyle Fund - 2032 01/06/2023 102 102 0% - 03/04/2023 2%
MA2 Multi Asset Balanced S3 01/06/2023 153 153 3.87% 5% 29/08/2014 53%
MAC Multi Asset Portfolio Cautious 01/06/2023 148.8 148.8 2.9% 3.4% 16/05/2013 39.5%
MAPB Growth Fund 01/06/2023 147.6 147.6 3.94% 4.7% 14/11/2014 47.6%
MAPC Cautious Growth/ARF Fund 01/06/2023 131.1 131.1 2.9% 3.2% 14/11/2014 31.1%
MAPG High Growth Fund 01/06/2023 159 159 4.61% 5.6% 14/11/2014 59%
MAPP Multi Asset Managed Fund 01/06/2023 116.8 116.8 3.91% 3.1% 16/05/2018 16.5%
MAS1 Consolidation Fund 01/06/2023 101.5 101.5 2.11% 0.3% 30/11/2017 1.5%
MB45 Moderate Growth Fund (MB45) 01/06/2023 116.6 116.6 3.74% 3.4% 17/10/2018 16.5%
MC45 Multi Asset Portfolio Cautious (MC45) 01/06/2023 108.8 108.8 2.84% 1.8% 17/10/2018 8.7%
MC55 Multi Asset Portfolio Cautious (MC55) 01/06/2023 106.1 106.1 2.81% 1.9% 20/07/2020 5.7%
MCEP Cautious Growth and Risk Fund 01/06/2023 129.1 129.1 3.2% 3% 07/10/2014 29.5%
MEQ Active Global Equity Fund 01/06/2023 938 938 7.03% 7.8% 29/01/2004 324.4%
MFG Moderate Growth Fund 2 01/06/2023 116.5 116.5 3.83% - 09/07/2018 0%
MG1 Multi Asset Growth S2 01/06/2023 166.3 166.3 4.59% 6% 29/08/2014 66.3%
MG2 Multi Asset Portfolio Growth S2 02/05/2023
Nearest actual Price Date differs to the expected price date: 02/05/2023
143.8 143.8 2.79% 4.5% 13/02/2015 43.2%
MGF1 Moderate Growth Fund 01/06/2023 141.8 141.8 3.88% 5% 06/04/2016 41.7%
ML1 Indexed Eurozone 1-5 Yr Bond Fund 01/06/2023 107.9 107.9 1.41% 0.6% 09/04/2010 8%
MP2 Multi Asset Portfolio Balanced S2 01/06/2023 137.2 137.2 3.94% 3.8% 13/02/2015 36.8%
MP3 Multi Asset Cautious 01/06/2023 109.4 109.4 2.82% 2.2% 08/03/2019 9.7%
MP360 Cautious Growth / ARF Fund (S60) 01/06/2023 105.3 105.3 2.83% 2.2% 11/09/2020 6.1%
MP560 Multi Asset Portfolio Growth (S60) 01/06/2023 114 114 4.49% 5.5% 11/09/2020 15.6%
MR1 Pension Managed Fund 01/06/2023 11545.4 11865.8 3.4% 5.5% 30/04/2004 177.9%
MR2 Pension Managed Fund S2 01/06/2023 1226.5 1277.6 3.21% 5.9% 31/12/1995 382.5%
MSGH Irish Life Indexed Global Equity Fund (Hedged) 01/06/2023 136.1 136.1 9.23% 5.8% 05/12/2017 36.5%
MSGU Irish Life Indexed Global Equity Fund 30/11/2021
Nearest actual Price Date differs to the expected price date: 30/11/2021
170.3 170.3 27.18% 14.3% 05/12/2017 70.5%
MT4 MT Equity Fund S1 09/08/2021
Nearest actual Price Date differs to the expected price date: 09/08/2021
289.3 289.3 20.04% 9.8% 05/04/2010 189.3%
MT9 MT Bond Fund S2 01/06/2023 132.3 132.3 2.8% 2.1% 05/04/2010 32.3%
MXP Managed Ex Property Fund S1 01/06/2023 218.7 218.7 4.24% 5.4% 09/05/2008 120.2%
NAF Indexed North American Equity Fund S3 01/06/2023 512.7 512.7 9.62% 14.9% 29/08/2011 412.7%
NE5 Indexed North American Equity Fund S5 01/06/2023 322.2 322.2 9.74% 13.2% 02/01/2014 222.2%
NF4 Indexed North American Equity Fund S4 01/06/2023 513.1 513.1 9.71% 14.9% 01/09/2011 413.1%
NT14 Developed World Equity Fund S6 01/06/2023 318 318 9.13% - 08/12/2017 0%
NTA Active Equity Fund 01/06/2023 147.5 147.5 9.67% 7.5% 11/01/2018 47.5%
NTAF Annuity Fund 01/06/2023 73.4 73.4 2.66% -22.1% 08/03/2022 -26.6%
NTE Emerging Market Fund 01/06/2023 129.5 129.5 0.94% 3.8% 29/08/2016 29%
NTM Multi Asset Fund N 01/06/2023 113.7 113.7 2.99% 2.1% 08/06/2018 10.8%
NTR Sustainable Equity Fund 01/06/2023 107.7 107.7 8.79% - 28/06/2022 7.7%
NV24 Navigate Smaller Companies Fund 01/06/2023 106.2 106.2 3.01% 1.2% 23/05/2018 6.2%
NV25 Navigate Schroder Diversified Growth Fund 01/06/2023 101.6 101.6 2.01% 0.3% 25/05/2018 1.6%
NV27 Navigate Consensus Fund 01/06/2023 133.2 133.2 6.47% 6.5% 27/11/2018 32.8%
NV28 Navigate Global Equity Fund 01/06/2023 151.5 151.5 9.15% 10.1% 26/03/2019 49.9%
NV29 Navigate Hedged Global Equity fund 01/06/2023 137.8 137.8 9.19% 7.7% 26/03/2019 36.7%
NV2A Navigate Quality Equity Fund (S1) 01/06/2023 153.5 153.5 4% 7.4% 10/04/2017 54.9%
NV2B Navigate Low Volatility Equity Fund (S1) 01/06/2023 139.9 139.9 1.01% 5.8% 22/06/2017 40.2%
NV2C Navigate World Equity Fund (S1) 01/06/2023 169.9 169.9 9.12% 8.8% 10/04/2017 67.9%
NV2D Navigate Cash Fund (S1) 01/06/2023 97.7 97.7 0.93% -0.4% 10/04/2017 -2.2%
NV2E Navigate Annuity Bond Fund (S1) 01/06/2023 82.1 82.1 1.86% -3.3% 10/04/2017 -18.6%
NV2F Navigate MAPCautious (S1) 01/06/2023 113 113 2.91% 1.9% 10/04/2017 12.2%
NV2G Navigate MAPBalanced (S1) 01/06/2023 120.1 120.1 3.89% 3% 10/04/2017 20.2%
NV2H Navigate MAPGrowth (S1) 01/06/2023 125 125 4.6% 3.7% 10/04/2017 25%
NV2I Navigate High Growth Fund (S1) 01/06/2023 144.4 144.4 7.2% 6% 10/04/2017 43.1%
NV2J Navigate Moderate Growth Fund (S1) 01/06/2023 116 116 5.07% 2.3% 11/04/2017 15.1%
NV2JS Moderate Growth Fund 01/06/2023 116.5 116.5 5.05% 2.7% 25/08/2017 16.6%
NV2K Navigate Cautious Growth Fund (S1) 01/06/2023 107.3 107.3 3.37% 1.1% 11/04/2017 7.1%
NV2KS Cautious Growth Fund 01/06/2023 104.1 104.1 3.38% 0.7% 25/08/2017 4.1%
NV2L Navigate Property Fund (S1) 01/06/2023 109 109 -3.45% 1.3% 10/04/2017 8.3%
NV2N Navigate Blackrock Total Return Fund 01/06/2023 95 95 2.15% -0.9% 03/05/2017 -5.2%
NV2O Navigate Russell Total Return Fund 01/06/2023 106.9 106.9 2.99% 1.1% 03/05/2017 6.7%
NV2P Navigate Inflation Linked Bond Fund 01/06/2023 107.9 107.9 4.66% 1.3% 01/06/2017 7.9%
NV2Q Navigate Long Bond Fund 01/06/2023 86.1 86.1 2.99% -2.5% 01/06/2017 -13.9%
NV2R Navigate Corporate Bond Fund 01/06/2023 94.5 94.5 2.61% -0.9% 01/06/2017 -5.5%
NV2S High Growth Fund S 01/06/2023 150.8 150.8 7.18% 7.4% 25/08/2017 51.3%
NV2T Navigate Eurozone Equity Fund 01/06/2023 130.5 130.5 12.21% 4.8% 06/10/2017 30.5%
NV41 Navigate High Yield Bond Fund 01/06/2023 102.3 102.3 2.81% 0.4% 15/02/2018 1.9%
NV42 Navigate Emerging Market Debt Fund 01/06/2023 102.6 102.6 5.12% 0.4% 15/02/2018 2.4%
NV43 Navigate Global Infrastructure Fund 01/06/2023 145 145 -1.56% 7.5% 27/02/2018 46.5%
NV46 Navigate 50:50 Fund 01/06/2023 142.6 142.6 10.63% - 22/06/2018 0%
NV4A Navigate Quality Equity Fund (S2) 01/06/2023 153.9 153.9 3.99% 7.2% 10/04/2017 53%
NV4B Navigate Low Volatility Equity Fund (S2) 01/06/2023 142.1 142.1 1% 5.5% 10/04/2017 38.9%
NV4C Navigate World Equity Fund (S2) 01/06/2023 167.8 167.8 9.03% 8.6% 10/04/2017 65.8%
NV4D Navigate Cash Fund (S2) 01/06/2023 97.7 97.7 0.93% -0.4% 10/04/2017 -2.2%
NV4E Navigate Annuity Bond Fund (S2) 01/06/2023 81.8 81.8 1.74% -3.5% 10/04/2017 -19.6%
NV4F Navigate MAPCautious (S.2) 01/06/2023 110.3 110.3 2.8% 1.6% 10/04/2017 10.3%
NV4G Navigate MAPBalanced (S.2) 01/06/2023 119 119 3.84% 2.8% 10/04/2017 18.8%
NV4H Navigate MAPGrowth (S2) 01/06/2023 124.9 124.9 4.52% 3.5% 10/04/2017 23.5%
NV4I Navigate High Growth Fund (S2) 01/06/2023 140.3 140.3 7.1% 5.8% 10/04/2017 41.3%
NV4J Navigate Moderate Growth Fund (S2) 01/06/2023 114.7 114.7 5.04% 2.1% 11/04/2017 13.8%
NV4K Navigate Cautious Growth Fund (S2) 01/06/2023 103.3 103.3 3.3% 0.5% 11/04/2017 3.1%
NV4L Navigate Property Fund (S2) 01/06/2023 105.5 105.5 -4.18% 0.8% 10/04/2017 5%
NV4Q Navigate Long Bond Fund S2 01/06/2023 84.6 84.6 2.92% -3.1% 15/02/2018 -15.4%
NV4T Navigate Eurozone Equity Fund (2) 01/06/2023 129 129 12.08% 4.6% 06/10/2017 29%
NV4U Navigate Emerging Market Equity Fund S2 01/06/2023 104.1 104.1 0.77% 0.6% 15/02/2018 3.2%
NV4V Navigate Japanese Equity Fund 01/06/2023 124.8 124.8 9.38% 4.1% 15/02/2018 23.7%
NV4W Navigate US Equity Fund S2 01/06/2023 187.3 187.3 9.6% 12.5% 15/02/2018 86.2%
NV4X Navigate High Yield Equity Fund 01/06/2023 146.1 146.1 -0.95% 7.3% 15/02/2018 45.4%
NV4Y Navigate Technology Fund 01/06/2023 252.2 252.2 31.29% 18.8% 15/02/2018 149%
NV4Z Navigate Eurozone Inflation Linked Bond Fund 01/06/2023 119 119 3.39% 3.4% 15/02/2018 19.2%
OLM1 High Growth fund 01/06/2023 127.1 127.1 4.52% 4.3% 06/09/2017 27.1%
OLM2 Moderate Growth fund 01/06/2023 123.3 123.3 3.88% 3.7% 06/09/2017 23.3%
OLM3 Cautious Growth Fund 01/06/2023 114.8 114.8 2.87% 2.4% 06/09/2017 14.8%
OLM4 ARF Matching Fund 01/06/2023 114.8 114.8 2.87% 2.4% 06/09/2017 14.8%
OLM5 Annuity Objective Fund 01/06/2023 80.7 80.7 1.89% -3.7% 06/09/2017 -19.3%
OLM6 Indexed Global Equity Fund 01/06/2023 168 168 8.18% 9.5% 06/09/2017 68%
OLM7 Cash Fund 01/06/2023 98.1 98.1 0.93% -0.3% 06/09/2017 -1.9%
P8C Cash 01/06/2023 100.2 100.2 0.91% -0.3% 01/08/2017 -1.9%
PAL Passive Long Bond Fund S3 01/06/2023 208.8 208.8 3.16% 3.7% 06/05/2003 108.8%
PAN Pension Active Fund Net 01/06/2023 655.6 655.6 3.39% 5.7% 31/12/2003 191%
PAO Pension Active Fund Net S3 01/06/2023 186.9 186.9 3.43% 4% 27/07/2007 86.9%
PC14 Pension Cash Fund S14 01/06/2023 98 98 0.93% -0.3% 15/04/2018 -1.3%
PC2 Pension Cash Fund 01/06/2023 813.8 813.8 0.84% 1.6% 31/12/1997 48.6%
PC3 Pension Cash Fund S3 01/06/2023 313.9 327 0.51% 0.8% 31/12/1997 22.8%
PC35 Irish Life Cash Fund 01/06/2023 97.9 97.9 0.82% -0.5% 17/10/2018 -2.1%
PC5 Pension Cash Fund S5 01/06/2023 113.6 113.6 0.89% 0.8% 19/09/2006 13.6%
PC55 Cash Fund (S55) 01/06/2023 98.7 98.7 0.71% -0.5% 11/09/2020 -1.3%
PC6 Pension Cash Fund S6 01/06/2023 111.3 111.3 1% 0.7% 12/07/2007 11.3%
PC8 Pension Cash Fund S8 01/06/2023 99.9 99.9 0.81% 0% 28/01/2010 -0.1%
PCA Passive Growth fund 01/06/2023 285.4 285.4 6.61% 6% 11/07/2005 184.8%
PCB Pension Consensus Fund S2 01/06/2023 314.1 314.1 6.47% 6.3% 27/09/2004 215.4%
PCC Pension Consensus Fund S3 01/06/2023 434.9 434.9 6.54% 5.3% 27/05/1999 242.4%
PCD Pension Consensus Fund S4 01/06/2023 354.5 354.5 6.55% 6.7% 09/09/2003 256.6%
PCF Pension Consensus Fund 01/06/2023 843.9 843.9 6.46% 7.1% 31/12/1995 564.5%
PCF60 Pension Consensus Fund (S60) 01/06/2023 115.3 115.3 6.37% 5.9% 11/09/2020 16.8%
PCJ Pension Consensus Fund S8 18/03/2020
Nearest actual Price Date differs to the expected price date: 18/03/2020
175.5 175.5 -19.97% 4% 31/12/2005 74.5%
PCK Pension Consensus Fund S5 01/06/2023 212.3 212.3 6.47% 4.7% 05/02/2007 111.9%
PCU Moderate Growth Fund 01/06/2023 193.4 193.4 3.98% 4.1% 28/02/2007 93.4%
PCU1 Pension Consensus Fund Series 10 01/06/2023 223.1 223.1 6.59% 5.2% 21/05/2015 50.1%
PCX Consensus ex-Property Fund S2 01/06/2023 359 359 7.13% 6.9% 31/08/2014 79.9%
PCY Consensus ex-Property Fund S4 01/06/2023 327.4 327.4 6.92% 5.9% 14/02/2005 186.7%
PE2 Indexed Pacific Equity Fund S2 18/04/2023
Nearest actual Price Date differs to the expected price date: 18/04/2023
245.2 245.2 1.7% 8% 01/09/2011 145.2%
PEU1 Indexed Global Equity Fund Unhedged 01/06/2023 144.3 144.3 9.24% 8.9% 30/11/2019 34.9%
PF1 Active Eurozone >5 Yr Bond Fund 01/06/2023 8766.8 8900.3 3.21% 5.1% 31/12/1995 295.2%
PFB Passive >5 year Bond Fund 01/06/2023 160.3 160.3 3.29% 2.8% 18/11/2005 61.6%
PFC Passive >5 year Bond Fund S3 01/06/2023 156.1 156.1 3.24% 3% 29/02/2008 56.1%
PFR Forestry Fund 01/06/2023 1320.4 1333.7 5.68% 6% 31/12/1995 392.7%
PFY Pension Active >5 Yr Bond Fund 01/06/2023 179.4 179.4 3.28% 3.6% 14/09/2006 79.4%
PGE Passive Global Equity Fund A 01/06/2023 143.9 143.9 8.2% 8.5% 15/04/2018 52%
PHC Partial Currency Hedge Fund 01/06/2023 190.5 190.5 9.17% 9.9% 10/06/2016 92.8%
PHI INDEXED EQUITY PARTIAL HEDGE 01/06/2023 178.7 178.7 9.16% 7.5% 14/05/2015 78.7%
PJ3 Indexed Pacific (Ex. Japan) Equity Fund 01/06/2023 249.6 249.6 -3.11% 8.1% 29/08/2011 149.6%
PJM1 Multi Manager Diversified Growth Fund (PJM1) 01/06/2023 98.2 98.2 0.1% -0.4% 11/05/2018 -1.8%
PJM2 ESG Equity Fund (PJM2) 01/06/2023 158.2 158.2 10.55% 9.7% 27/06/2018 58.2%
PJM3 Global Consensus Fund (PJM3) 01/06/2023 136.5 136.5 6.31% 6.8% 25/06/2018 38.3%
PJM4 Cash Fund (PJM4) 01/06/2023 98.6 98.6 0.82% -0.3% 25/06/2018 -1.4%
PJM5 Indexed Euro Govt AAA/AA >10 Year Bonds (PJM5) 01/06/2023 79.9 79.9 1.91% -4.6% 27/06/2018 -20.6%
PJM6 Absolute Return Fund (PJM6) 01/06/2023 101.4 101.4 2.74% - 15/06/2018 0%
PJM7 Schroder Global Diversified Growth Fund (PJM7) 01/06/2023 102.5 102.5 2.09% - 15/06/2018 0%
PKE UK Equity Fund 01/06/2023 6523 6724.7 5.29% 1.7% 31/10/2000 45.5%
PL12 Pension Levy Cash Fund 2012 01/06/2023 99.3 99.3 0.91% -0.1% 30/06/2012 -0.7%
PL13 Pension Levy Cash 2013 01/06/2023 99.1 99.1 0.92% -0.1% 14/06/2013 -0.9%
PL2 Active Long Bond Fund S2 01/06/2023 220.4 220.4 3.43% 4.1% 10/11/2003 120%
PLB Active Eurozone>10 Yr Bond Fund 01/06/2023 363.1 363.1 3.36% 4.6% 28/03/2000 185.9%
PLC Active Long Bond Fund S3 01/06/2023 224.4 224.4 3.41% 4.1% 14/04/2003 124.6%
PLX Indexed Eurozone >10 Yr Bond Fund 01/06/2023 147.9 147.9 3.21% 3.4% 05/08/2011 47.9%
PMS2 Setanta Pension Managed Fund S2 01/06/2023 342.9 342.9 4.7% - 07/04/2014 0%
PMS4 Setanta Pension Managed Fund Series 40 01/06/2023 344.2 344.2 4.75% 5.6% 10/12/2015 50%
PNJ Active Index Linked Bond Fund S2 01/06/2023 162.6 162.6 3.5% 2.8% 06/09/2005 62.9%
PO5 High Risk Return Fund 01/06/2023 132.7 132.7 3.19% 5.1% 14/09/2017 32.7%
PO6 Active Diversified Growth Fund 01/06/2023 104.1 104.1 -1.61% 0.7% 24/11/2017 4.1%
PO7 Annuity Objective Fund. 01/06/2023 80.1 80.1 1.91% -3.9% 24/11/2017 -19.9%
PO8 Indexed World Equity Fund. 01/06/2023 159.9 159.9 8.26% 8.9% 24/11/2017 59.9%
PO9 Medium Risk/Return Fund 01/06/2023 124.9 124.9 3.91% 4.1% 24/11/2017 24.9%
PPF Pension Protection Fund 01/06/2023 397.1 397.1 2.72% 4.5% 31/12/1997 206.6%
PPI Irish Property Fund 31/05/2023
Nearest actual Price Date differs to the expected price date: 31/05/2023
10592.3 10919.9 -4.1% 7.1% 30/09/1990 837.7%
PPL Passive Long Bond Fund 01/06/2023 213.6 213.6 3.14% 3.8% 20/12/2002 114.2%
PS7 Pension Stability Fund S7 01/06/2023 129.6 129.6 2.61% 2.2% 18/04/2011 29.6%
RA20 Indexed Fundamental Equity Fund 01/06/2023 176.4 176.4 4.07% 9% 26/10/2016 77.1%
RBF Annuity Objective Fund S6 01/06/2023 132.2 132.2 2.64% 2.1% 23/03/2010 32.2%
RBSA ARF Matching Fund S6 01/06/2023 112 112 2.85% 2.1% 30/11/2017 12%
RBSC Cautious Growth Fund S6 01/06/2023 112 112 2.85% 2.1% 30/11/2017 12%
RBSH High Growth Fund S6 01/06/2023 121.9 121.9 4.55% 3.7% 30/11/2017 22.1%
RCF Cash Fund S6 01/06/2023 99.9 99.9 0.91% 0% 23/03/2010 -0.1%
REF Indexed 50/50 Equity Fund S4 01/06/2023 313.8 313.8 10.69% 6.4% 31/05/2006 188.2%
RIH Pension Property Fund Series H1 01/06/2023 258.9 258.9 -3.47% 8.2% 17/05/2011 158.9%
SE2 Consensus Fund SS 16/06/2020
Nearest actual Price Date differs to the expected price date: 16/06/2020
711 711 -4.18% 4.9% 25/02/2015 28.8%
SE5 Cash Fund SS 16/06/2020
Nearest actual Price Date differs to the expected price date: 16/06/2020
821.2 821.2 -0.28% -0.5% 25/02/2015 -2.4%
SEP European Property Fund 01/06/2023 53.5 53.5 -11.13% -3.6% 31/05/2006 -46.5%
SG2 Setanta Global Equity Fund (S2) 01/06/2023 244.9 244.9 7.13% 9.7% 23/09/2013 145.1%
SGFF Setanta Global Focus Fund A 01/06/2023 155.7 155.7 7.08% 5.7% 08/09/2015 53.7%
SH1 Moderate Growth Fund 01/06/2023 758.5 758.5 3.92% 4.6% 11/10/2016 34.8%
SH2 High Growth fund 01/06/2023 404 404 4.55% 5.6% 11/10/2016 43.8%
SH3 Cash Fund S3 01/06/2023 819.3 819.3 0.89% -0.3% 11/10/2016 -2.2%
SH4 Annuity Objective Fund 01/06/2023 212.5 212.5 2.66% -3.3% 11/10/2016 -19.8%
SH5 Cautious Growth Fund P 01/06/2023 112.3 112.3 2.93% 2.1% 30/11/2017 12.3%
SH6 Lump Sum Fund 01/06/2023 107.1 107.1 1.61% 1.3% 30/11/2017 7.1%
SH8 Sustainable Equity Fund 01/06/2023 108.9 108.9 8.25% 0.6% 04/08/2021 1.1%
SIF Passive Equity fund 01/06/2023 289.5 289.5 8.26% 8.8% 08/11/2010 189.5%
SLG Lifestyle Growth Portfolio 01/06/2023 156.5 156.5 5.89% 5.9% 07/10/2015 55.6%
SLI Annuity Matching Fund 01/06/2023 84.8 84.8 2.66% -2.4% 06/01/2017 -14.4%
SLL Annuity Matching fund 01/06/2023 84.8 84.8 2.66% - 05/01/2017 0%
SR1 Socially Responsible European Equities 01/06/2023 176.5 176.5 10.52% 3.6% 23/04/2007 76.5%
SRG Socially Responsible Global Equities 01/06/2023 291.6 291.6 10.45% 6.9% 23/04/2007 191.6%
SRJ Socially Responsible Global Equities S3 01/06/2023 251.6 251.6 10.54% 10.8% 20/06/2014 151.1%
T03 Cash Fund Series S 01/06/2023 118.4 118.4 0.51% 0.8% 20/03/2003 18.4%
T18 International Cash Fund 01/06/2023 97.8 97.8 0.93% -0.2% 16/11/2010 -2.2%
TG1 High Growth Fund. 01/06/2023 116.3 116.3 4.59% 3.3% 14/09/2018 16.3%
TG2 Moderate Growth Fund . 01/06/2023 113.7 113.7 3.93% 2.8% 14/09/2018 13.7%
TG3 Cautious Growth Fund . 01/06/2023 107.9 107.9 2.86% 1.6% 14/09/2018 7.9%
TG4 Annuity Objective Fund S3 01/06/2023 82.1 82.1 2.63% -4.1% 14/09/2018 -17.9%
VH1 Growth Fund 01/06/2023 174.7 174.7 3.86% 5.7% 26/06/2013 73.3%
VH2 Consolidation Fund 01/06/2023 145.7 145.7 2.82% 3.8% 26/06/2013 45%
VH3 High Growth Fund S1 01/06/2023 170.1 170.1 4.61% 6.1% 16/06/2014 70.4%
VH4 ARF Matching Fund 01/06/2023 131.3 131.3 2.9% 3.1% 16/06/2014 31.4%
VH5 Annuity Objective Fund S1 01/06/2023 104.6 104.6 2.65% 0.5% 16/06/2014 4.3%
VH6 Low Risk Fund 01/06/2023 122.3 122.3 0% 2.3% 16/06/2014 22.3%
VH7 Cash Fund S1 01/06/2023 97.5 97.5 0.93% -0.3% 25/03/2015 -2.5%
VH8 Indexed Equity Fund 01/06/2023 187.7 187.7 9.25% 8% 24/03/2015 87.7%
WEH Indexed World Equities Fund Series H 01/06/2023 324.7 324.7 8.81% 9.4% 04/05/2010 224.7%
WIE Indexed World Equity S 6 01/06/2023 453.9 453.9 9.06% 10.9% 30/10/2008 353.9%
WNE World Ex Euro 01/06/2023 200.5 200.5 8.79% 9.7% 17/12/2015 100.1%
ZPE Indexed Pacific Equity Fund 01/06/2023 289.7 289.7 -3.5% 6.6% 19/05/2006 196.2%