You are here: Home | Policyholders | Fund Information | CFIP (pre Jan 2001)
Products provided by Standard Life Assurance Limited.

Corporate Fund Investment Policy - pre 29 Jan 2001

Standard Life's Corporate Fund Investment Policy is designed to give access to a wide range of Standard Life's professionally managed funds.

The default list of funds shown are managed by Standard Life Investments. To view another manager's funds please choose from the drop-down menu.

To view fund information in the form of a fact sheet simply click on the name of the fund shown. Please note that these fact sheets are provided in PDF format. Should you wish to view the fact sheets, you must have Adobe Acrobat Reader.

This is free to download at Adobe. You can also view using Adobe's Accessible Tools.

Values shown are displayed in pence.


 

Standard Life Investments Funds

Managed Funds

Price

Daily Change

Change Date

Managed Fund

2694.047778

up

10.90

0.41%

28/08/2008

Cautious Managed Fund

186.631044

up

0.50

0.27%

28/08/2008

Stock Exchange Fund

5399.518197

up

21.90

0.41%

28/08/2008

Protection Fund

233.368876

down

-0.30

-0.13%

28/08/2008

Higher Income

100.967399

up

0.10

0.10%

28/08/2008

AAA Income

100.786482

up

0.80

0.80%

28/08/2008

Global Index Linked Bond

115.427196

up

0.20

0.17%

28/08/2008

Ethical Fund

151.772600

up

0.80

0.53%

28/08/2008

Property Fund

4804.103602

down

-9.60

-0.20%

28/08/2008

Sterling Fund

173.239038

none

0.00

0.00%

28/08/2008

Cash Fund +

876.674283

up

0.10

0.01%

28/08/2008

Global Absolute Return Strategies Fund

114.734694

up

0.10

0.09%

28/08/2008

Long Lease Property Fund

149.082093

none

0.00

0.00%

28/08/2008

UK Equity Fund

4471.807235

up

33.90

0.76%

28/08/2008

UK Equity Select Fund

182.600704

up

1.60

0.88%

28/08/2008

Overseas Fund

1778.725301

up

2.20

0.12%

28/08/2008

Institutional Global Equity Select 60:40 Fund

144.705074

up

0.70

0.49%

28/08/2008

European Fund

769.879857

up

5.30

0.69%

28/08/2008

North American Fund

358.082355

down

-0.40

-0.11%

28/08/2008

Japanese Fund

82.107862

down

-0.70

-0.84%

28/08/2008

Pacific Basin Fund

332.370423

up

3.40

1.03%

28/08/2008

UK Equity Smaller Companies Fund

401.119479

up

0.10

0.02%

28/08/2008

FTSE* Tracker Fund

140.189397

up

1.20

0.86%

28/08/2008

UK Fixed Interest Fund

170.026676

down

-0.10

-0.06%

28/08/2008

Overseas Fixed Interest Fund

171.485099

down

-0.70

-0.41%

28/08/2008

Long Corporate Bond Fund

151.599367

down

-0.10

-0.07%

28/08/2008

Long Bond Fund

143.256584

down

-0.20

-0.14%

28/08/2008

Corporate Bond Fund

137.584133

down

-0.10

-0.07%

28/08/2008

Gilt Fund

137.044675

down

-0.10

-0.07%

28/08/2008

Index-Linked Fund

882.414848

down

-1.80

-0.20%

28/08/2008

Fixed Interest Fund +

1436.272107

down

-1.00

-0.07%

28/08/2008


+ The Fixed Interest Fund and Cash Fund are closed to new business.

About These Prices

The price shown is the price at which units in each of the Investment Funds are both bought and sold on 28/08/2008. These prices are for information purposes only. For more information on the actual unit prices that will be used when a transaction is carried out please contact us.

Your Investment

The value of your investment can go down as well as up. The sterling value of overseas assets in these funds may also rise and fall as a result of exchange rate fluctuations. In exceptional circumstances, a request to change funds or transfer benefits may be deferred for up to one month for investments in the investment-linked funds or six months for the Property Fund.

* FTSE

*FTSE International Limited ("FTSE") does not sponsor, endorse, or promote this fund. All copyright in the index values and constituent list vests in FTSE. Standard Life Assurance Limited has obtained licence from FTSE to use such copyright in the creation of this fund. "FTSE®" is a trade mark jointly owned by the London Stock Exchange Plc and The Financial Times Limited and is used by FTSE under licence.



Home page


What's this?




This website is intended for the information of residents of the United Kingdom. Standard Life Assurance Limited (SC286833), Standard Life Bank plc*, (SC173685), Standard Life Client Management Limited (SC193444) and Standard Life Savings Limited (SC180203) are all registered in Scotland at Standard Life House, 30 Lothian Road, Edinburgh EH1 2DH. Standard Life Investments Limited (SC123321) and Standard Life Investments (Mutual Funds) Limited (SC123322) are both registered in Scotland at 1 George Street, Edinburgh EH2 2LL. All companies authorised and regulated by the Financial Services Authority (* except for Standard Life Bank plc's "Buy to Let" mortgages).

© 2008 Standard Life