Comparative Rates - Pru Life UK

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February 09, 2018

PRUlink fund performance as at February 09, 2018


Finance
PruLink Funds Launch Date Fund Price YTD Return* 1 yr. Return* 3 yr. Return* 5 yr. Return* Fund Type
PRUlink equity fund October 23, 2007 2.55866 0.47% 17.68% 2.71% 5.31% VUL
PRUlink growth fund July 22, 2005 4.28846 0.02% 13.83% 1.88% 4.22% VUL
PRUlink managed fund September 24, 2002 3.09383 -1.94% -0.35% -1.07% 1.19% VUL
PRUlink proactive fund February 17, 2009 2.26337 -0.78% 7.80% 0.31% 2.17% VUL
PRUlink peso bond fund September 24, 2002 2.47836 -2.80% -5.85% -2.26% 0.33% VUL
PRUlink money market fund February 17, 2009 1.04111 0.14% 0.91% 0.47% 0.05% VUL
PRUlink Asia Pacific equity fund February 26, 2013 1.15227 0.74% 24.29% 4.22% n.a. VUL
PRUlink global emerging markets dynamic fund April 1, 2014 1.14799 1.46% 25.48% 8.41% n.a. VUL
PRUlink dollar bond fund June 3, 2003 2.4874 -2.74% -0.56% 0.58% 2.30% VUL
PRUlink Asian local bond fund January 28, 2012 1.04046 -0.59% 5.75% 0.91% -0.07% VUL
PRUlink cash flow fund November 17, 2014 0.96534 -1.34% 0.17% -1.02% n.a. VUL
PRUlink Asian balanced fund October 9, 2017 1.01584 0.29% n.a. n.a. n.a. VUL

*Definition of Returns Notes:


YTD Return (return from start of year) 1. Growth rates are computed based on the published fund prices.
1 Year Return (return from one year ago this date) 2. If pricing dates do not match, the previous pricing date is considered.
3 Year Return (return from 3 years ago this date; annualized) 3. n.a. means Not Applicable as data is not available.
5 Year Return (return from 5 years ago this date; annualized)

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