fund prices

Fund Prices

The latest life, OEIC and With Profits Fund prices are listed below.

Life Funds and the With Profits Sub Fund are priced at close of business on Wednesday each week. OEIC funds including ISAs and Child Trust Funds are priced daily.

Please note the figures shown are the most up to date prices for the funds. engage Mutual Assurance works on a forward pricing basis which means that when cashing in a policy the price on the next relevant valuation date is used.

For historic price information simply click through on the fund name.

Life Funds
price data at most recent available valuation date
Bid PriceOffer Price
engage Diversified Growth Fund SEDOL No B27Z250, Fund No 671.06781.0678
engage Diversified Protector Fund SEDOL No B27Z1B9, Fund No 661.05791.0579
Far Eastern Exempt Fund SEDOL No 43472, Fund No 161.44881.5250
FTSE4Good Exempt Fund SEDOL No 27651, Fund No 391.16421.1642
FTSE4Good Fund SEDOL No 45238, Fund No 401.03251.0325
Great British Companies Exempt Fund SEDOL No 43473, Fund No 173.63323.8245
Great British Growth Fund 1 SEDOL No 43504, Fund No 321.57151.6542
Great British Growth Fund 2 SEDOL No 43505, Fund No 331.65451.6545
Green Chip (2) Exempt Fund SEDOL No 43489, Fund No 92.58612.7222
Green Chip (2) Fund SEDOL No 43492, Fund No 122.34292.4662
Green Chip Fund SEDOL No 43486, Fund No 62.50682.6387
Green Chip Growth Fund SEDOL No 43506, Fund No 311.32611.3959
Managed Fund 1 SEDOL No 43481, Fund No 13.32423.4992
Managed Fund 3 SEDOL No 43483, Fund No 33.34933.5255
Master Fund SEDOL No 43491, Fund No 112.40292.5293
Master Fund Exempt SEDOL No 43488, Fund No 82.74532.8897
MIM Rupert Exempt Fund SEDOL No 43490, Fund No 103.15173.3176
New Life Building Society Fund SEDOL No n/a , Fund No 242.94523.1003
New Life Commercial Union Fund SEDOL No n/a , Fund No 272.02572.1323
New Life GT Tax Free Fund SEDOL No n/a , Fund No 252.10222.2128
New Life GT Taxable Fund SEDOL No n/a , Fund No 263.23753.4079
New Life Property Fund SEDOL No n/a , Fund No 281.06261.1185
Retirement Fund SEDOL No 43532, Fund No 152.26842.3878
Solid Growth Fund SEDOL No 43493, Fund No 181.71871.8092
Tax Exempt Green Chip Fund SEDOL No 43487, Fund No 72.85603.0064
Tax Exempt Managed Fund 1 SEDOL No 43484, Fund No 44.24864.4723
Tax Exempt Managed Fund 3 SEDOL No 43485, Fund No 54.56934.8098
The Deposit Fund SEDOL No 27655, Fund No 351.44401.4440
UK Equity Index Exempt Fund SEDOL No 27827, Fund No 371.37771.3777
UK Equity Index Fund SEDOL No 27652, Fund No 381.30751.3075
UK Managed Fund SEDOL No 43533, Fund No 142.86233.0130

Prices explained

offer price:
the price you pay for units.
bid price:
the price your units are valued at when you cash them in. Please note: when you cash in, the amount you receive will be based on the bid price on the next valuation date.

OEIC Fund Share Prices
price data at most recent available valuation date
 Share Price
OEIC and ISA
engage High Income Fund (Accumulation) SEDOL No 936730
0.7384
engage High Income Fund (Income) SEDOL No 936741
0.4899
engage Investment Growth Fund (Accumulation) SEDOL No 936752
0.7888
OEIC – Child Trust Fund
engage Investment Growth Fund (Accumulation) SEDOL No 936763
0.7608

Prices explained

share price:
The price at which shares are bought and sold.
xd (ex dividend):
means that the buyer of a share is not entitled to the next dividend payment.

With Profits Sub Fund
price data at most recent available valuation date
  Pure Price Average Price
Protected Investment Bond
1.0911 1.0682

Prices explained

pure price:
the price used to value the bond in the first 26 weeks of the policy.
averaged price:
the price used to value the bond after the first 26 weeks of the policy. The averaged price at any given time is the average of the pure price over the previous 26 weeks

Your investment

The value of investments linked to these funds can fall as well as rise and you could get back less than you have paid in.

The Sterling value of any overseas assets in these funds may also rise and fall as a result of exchange rate fluctuations.