FT.com / Managed Funds
Funds  >  Aviva  >  Aviva Investors UK Fund Services Limited  >  Aviva Investors Active Protector

Fund DirectoryFund Quick SearchSector Analysis Fund Screener
Fund Directory

Aviva Investors Active Protector
Add to portfolio
Analyse ETFs Select Fund(0) Compare Now
 
  115.47 GBX
Nav
-0.22 /  -0.19%
Change / % Change**
117.05 - 103.42
52 Week Range
+11.19 +10.73%
52 Week Change
 
  Latest Price Information as at: 23/11/2009
 
 
Aviva Investors Active Protector 10.73%Aviva Investors Active Protector 10.94%Aviva Investors Active Protector 11.8%Aviva Investors Active Protector 10.91%Aviva Investors Active Protector 10.31%Aviva Investors Active Protector 8.88%Aviva Investors Active Protector 7.75%Aviva Investors Active Protector 8.22%Aviva Investors Active Protector 9.81%Aviva Investors Active Protector 10.31%Aviva Investors Active Protector 10.02%Aviva Investors Active Protector 9.88%Aviva Investors Active Protector 9.2%Aviva Investors Active Protector 7.07%Aviva Investors Active Protector 8.88%Aviva Investors Active Protector 8.21%Aviva Investors Active Protector 8.88%Aviva Investors Active Protector 9.29%Aviva Investors Active Protector 7.36%Aviva Investors Active Protector 6.96%Aviva Investors Active Protector 4.99%Aviva Investors Active Protector 4.56%Aviva Investors Active Protector 5.25%Aviva Investors Active Protector 5.91%Aviva Investors Active Protector 3.82%Aviva Investors Active Protector 2.25%Aviva Investors Active Protector 3.71%Aviva Investors Active Protector 3.12%Aviva Investors Active Protector 3.04%Aviva Investors Active Protector 2.45%Aviva Investors Active Protector 2.12%Aviva Investors Active Protector 2.14%Aviva Investors Active Protector 1.86%Aviva Investors Active Protector 1.63%Aviva Investors Active Protector 1.1%Aviva Investors Active Protector 1.1%Aviva Investors Active Protector 1.21%Aviva Investors Active Protector 1.32%Aviva Investors Active Protector 1.18%Aviva Investors Active Protector 1.14%Aviva Investors Active Protector 1.37%Aviva Investors Active Protector 1.37%Aviva Investors Active Protector 1.48%Aviva Investors Active Protector 1.5%Aviva Investors Active Protector 1.3%Aviva Investors Active Protector 1.32%Aviva Investors Active Protector 1.03%Aviva Investors Active Protector 1.06%Aviva Investors Active Protector 1.09%Aviva Investors Active Protector 0.93%Aviva Investors Active Protector 1.14%Aviva Investors Active Protector 0.96%Aviva Investors Active Protector 0.64%Aviva Investors Active Protector 0.25%Aviva Investors Active Protector 0.3%Aviva Investors Active Protector 0.16%Aviva Investors Active Protector 0.11%Aviva Investors Active Protector -0.1%Aviva Investors Active Protector -0.18%Aviva Investors Active Protector 0.04%Aviva Investors Active Protector -0.35%Aviva Investors Active Protector -0.37%Aviva Investors Active Protector -0.3%Aviva Investors Active Protector -0.35%Aviva Investors Active Protector -0.41%Aviva Investors Active Protector -0.56%Aviva Investors Active Protector -0.77%Aviva Investors Active Protector -0.72%Aviva Investors Active Protector -0.36%Aviva Investors Active Protector -0.11%Aviva Investors Active Protector 0.22%Aviva Investors Active Protector 0.73%Aviva Investors Active Protector 0.69%Aviva Investors Active Protector 0.77%Aviva Investors Active Protector 0.31%Aviva Investors Active Protector 0.49%Aviva Investors Active Protector 0.43%Aviva Investors Active Protector 0.45%Aviva Investors Active Protector 0.93%Aviva Investors Active Protector 1.04%Aviva Investors Active Protector 1.6%Aviva Investors Active Protector 1.81%Aviva Investors Active Protector 1.42%Aviva Investors Active Protector 1.03%Aviva Investors Active Protector 1.01%Aviva Investors Active Protector 0.87%Aviva Investors Active Protector 0.95%Aviva Investors Active Protector 0.67%Aviva Investors Active Protector 0.87%Aviva Investors Active Protector 0.48%Aviva Investors Active Protector 0.58%Aviva Investors Active Protector 0.57%Aviva Investors Active Protector 0%Fund Composite Benchmark 18.58%Fund Composite Benchmark 18.58%Fund Composite Benchmark 19.3%Fund Composite Benchmark 18.5%Fund Composite Benchmark 17.9%Fund Composite Benchmark 16.91%Fund Composite Benchmark 17%Fund Composite Benchmark 17.3%Fund Composite Benchmark 18.32%Fund Composite Benchmark 18.37%Fund Composite Benchmark 18.13%Fund Composite Benchmark 18.24%Fund Composite Benchmark 18.22%Fund Composite Benchmark 16.99%Fund Composite Benchmark 17.04%Fund Composite Benchmark 17.07%Fund Composite Benchmark 17.27%Fund Composite Benchmark 17.66%Fund Composite Benchmark 16.78%Fund Composite Benchmark 16.48%Fund Composite Benchmark 15.52%Fund Composite Benchmark 14.21%Fund Composite Benchmark 15.41%Fund Composite Benchmark 15.24%Fund Composite Benchmark 14.54%Fund Composite Benchmark 12.88%Fund Composite Benchmark 13.11%Fund Composite Benchmark 12.76%Fund Composite Benchmark 12.3%Fund Composite Benchmark 10.98%Fund Composite Benchmark 9.93%Fund Composite Benchmark 10.3%Fund Composite Benchmark 9.72%Fund Composite Benchmark 8.8%Fund Composite Benchmark 7.39%Fund Composite Benchmark 6.67%Fund Composite Benchmark 7.43%Fund Composite Benchmark 8.31%Fund Composite Benchmark 7.62%Fund Composite Benchmark 7.28%Fund Composite Benchmark 8.2%Fund Composite Benchmark 7.92%Fund Composite Benchmark 8.98%Fund Composite Benchmark 8.99%Fund Composite Benchmark 8.71%Fund Composite Benchmark 8.92%Fund Composite Benchmark 8.85%Fund Composite Benchmark 8.28%Fund Composite Benchmark 9.56%Fund Composite Benchmark 8.74%Fund Composite Benchmark 8.35%Fund Composite Benchmark 8.52%Fund Composite Benchmark 7.58%Fund Composite Benchmark 6.18%Fund Composite Benchmark 6.68%Fund Composite Benchmark 5.15%Fund Composite Benchmark 5.74%Fund Composite Benchmark 4.88%Fund Composite Benchmark 4.03%Fund Composite Benchmark 5.04%Fund Composite Benchmark 4.11%Fund Composite Benchmark 3.53%Fund Composite Benchmark 4.46%Fund Composite Benchmark 3.26%Fund Composite Benchmark 2.87%Fund Composite Benchmark 1.9%Fund Composite Benchmark 0.3%Fund Composite Benchmark -1.12%Fund Composite Benchmark 1.95%Fund Composite Benchmark 2.4%Fund Composite Benchmark 4.14%Fund Composite Benchmark 5.94%Fund Composite Benchmark 6.19%Fund Composite Benchmark 6.13%Fund Composite Benchmark 4.42%Fund Composite Benchmark 4.48%Fund Composite Benchmark 4.64%Fund Composite Benchmark 3.46%Fund Composite Benchmark 5.15%Fund Composite Benchmark 6.03%Fund Composite Benchmark 8.68%Fund Composite Benchmark 9.99%Fund Composite Benchmark 9.76%Fund Composite Benchmark 7.3%Fund Composite Benchmark 6.48%Fund Composite Benchmark 6.71%Fund Composite Benchmark 7.01%Fund Composite Benchmark 5.58%Fund Composite Benchmark 6.55%Fund Composite Benchmark 3.71%Fund Composite Benchmark 3.33%Fund Composite Benchmark 4.75%Fund Composite Benchmark 0%
 
CUMULATIVE PERFORMANCE Performance to: 20/11/2009
% Return 3 MTD 6 MTD 1 Year YTD
Aviva Investors Active Protector +7.76 +9.49 +10.82 +9.51
 
Fund DetailsValuation date: 23/11/2009
Nav(GBX)115.47
Change-0.22
% Change**-0.19
** since previous valuation date 20/11/2009
Fund Information
ISIN GB00B05R2B07
SEDOL B05R2B0
MEXID NUAP