FT.com / Managed Funds
Funds  >  Prudential  >  Prudential Unit Trusts Ltd  >  Prudential Growth Acc A

Fund DirectoryFund Quick SearchSector Analysis Fund Screener
Fund Directory

Prudential Growth Acc A
Add to portfolio
Analyse ETFs Select Fund(0) Compare Now
 
  70.78 GBX
Nav
+0.69 /  +0.98%
Change / % Change**
74.85 - 45.90
52 Week Range
+18.52 +35.44%
52 Week Change
 
  Latest Price Information as at: 06/11/2009
 
 
Prudential Growth Acc A 35.44%Prudential Growth Acc A 34.12%Prudential Growth Acc A 35.04%Prudential Growth Acc A 36.47%Prudential Growth Acc A 41.5%Prudential Growth Acc A 42.35%Prudential Growth Acc A 42.29%Prudential Growth Acc A 42.98%Prudential Growth Acc A 39.21%Prudential Growth Acc A 35.55%Prudential Growth Acc A 37.26%Prudential Growth Acc A 36.32%Prudential Growth Acc A 36.07%Prudential Growth Acc A 36.24%Prudential Growth Acc A 30.75%Prudential Growth Acc A 31.13%Prudential Growth Acc A 27.11%Prudential Growth Acc A 26.2%Prudential Growth Acc A 29.22%Prudential Growth Acc A 28.51%Prudential Growth Acc A 25.03%Prudential Growth Acc A 23.5%Prudential Growth Acc A 24.97%Prudential Growth Acc A 21.64%Prudential Growth Acc A 21.93%Prudential Growth Acc A 21.97%Prudential Growth Acc A 20.99%Prudential Growth Acc A 19.42%Prudential Growth Acc A 15.54%Prudential Growth Acc A 13.62%Prudential Growth Acc A 8.29%Prudential Growth Acc A 9.36%Prudential Growth Acc A 10.26%Prudential Growth Acc A 10.91%Prudential Growth Acc A 10.83%Prudential Growth Acc A 9.85%Prudential Growth Acc A 9.59%Prudential Growth Acc A 15.25%Prudential Growth Acc A 15.6%Prudential Growth Acc A 16.34%Prudential Growth Acc A 15.02%Prudential Growth Acc A 12.4%Prudential Growth Acc A 11.21%Prudential Growth Acc A 13.09%Prudential Growth Acc A 11.84%Prudential Growth Acc A 13.26%Prudential Growth Acc A 14.81%Prudential Growth Acc A 12.61%Prudential Growth Acc A 8.86%Prudential Growth Acc A 7.12%Prudential Growth Acc A 6.24%Prudential Growth Acc A 5.78%Prudential Growth Acc A 2.87%Prudential Growth Acc A 1.89%Prudential Growth Acc A 1.4%Prudential Growth Acc A 3.08%Prudential Growth Acc A -0.42%Prudential Growth Acc A 0.59%Prudential Growth Acc A -2.99%Prudential Growth Acc A -2.24%Prudential Growth Acc A -5.07%Prudential Growth Acc A -9.53%Prudential Growth Acc A -11.71%Prudential Growth Acc A -9.05%Prudential Growth Acc A -6.03%Prudential Growth Acc A -5.11%Prudential Growth Acc A -2.99%Prudential Growth Acc A 0.55%Prudential Growth Acc A 0.94%Prudential Growth Acc A 0.31%Prudential Growth Acc A -1.05%Prudential Growth Acc A 1.7%Prudential Growth Acc A 0.78%Prudential Growth Acc A 1.05%Prudential Growth Acc A -0.13%Prudential Growth Acc A 2.93%Prudential Growth Acc A 3.85%Prudential Growth Acc A 8.67%Prudential Growth Acc A 4.8%Prudential Growth Acc A 0.52%Prudential Growth Acc A 0.52%Prudential Growth Acc A 1.22%Prudential Growth Acc A -2.01%Prudential Growth Acc A -3.29%Prudential Growth Acc A -4.13%Prudential Growth Acc A -4.38%Prudential Growth Acc A -5.17%Prudential Growth Acc A -8.02%Prudential Growth Acc A -12.17%Prudential Growth Acc A -6.72%Prudential Growth Acc A -0.57%Prudential Growth Acc A 1.3%Prudential Growth Acc A 0%Fund Composite Benchmark 25.42%Fund Composite Benchmark 25.42%Fund Composite Benchmark 23.17%Fund Composite Benchmark 23.76%Fund Composite Benchmark 28.84%Fund Composite Benchmark 29.54%Fund Composite Benchmark 28.21%Fund Composite Benchmark 28.28%Fund Composite Benchmark 26.88%Fund Composite Benchmark 21.93%Fund Composite Benchmark 25.75%Fund Composite Benchmark 24.55%Fund Composite Benchmark 26.68%Fund Composite Benchmark 26.95%Fund Composite Benchmark 23.54%Fund Composite Benchmark 22.85%Fund Composite Benchmark 18.59%Fund Composite Benchmark 17.2%Fund Composite Benchmark 20.58%Fund Composite Benchmark 20.5%Fund Composite Benchmark 18.73%Fund Composite Benchmark 13.16%Fund Composite Benchmark 16.59%Fund Composite Benchmark 15.86%Fund Composite Benchmark 14.42%Fund Composite Benchmark 12.87%Fund Composite Benchmark 10.57%Fund Composite Benchmark 11.44%Fund Composite Benchmark 8.1%Fund Composite Benchmark 6.07%Fund Composite Benchmark -0.13%Fund Composite Benchmark 0.12%Fund Composite Benchmark 2.83%Fund Composite Benchmark 3.59%Fund Composite Benchmark 3.31%Fund Composite Benchmark 1.81%Fund Composite Benchmark 3.46%Fund Composite Benchmark 7.78%Fund Composite Benchmark 7.49%Fund Composite Benchmark 7.36%Fund Composite Benchmark 8.95%Fund Composite Benchmark 6.5%Fund Composite Benchmark 4.98%Fund Composite Benchmark 4.26%Fund Composite Benchmark 3.04%Fund Composite Benchmark 2.53%Fund Composite Benchmark 4.65%Fund Composite Benchmark 3.23%Fund Composite Benchmark 0.56%Fund Composite Benchmark -1.75%Fund Composite Benchmark -4.45%Fund Composite Benchmark -2.61%Fund Composite Benchmark -5.19%Fund Composite Benchmark -5.33%Fund Composite Benchmark -7.41%Fund Composite Benchmark -5.1%Fund Composite Benchmark -12.42%Fund Composite Benchmark -7.6%Fund Composite Benchmark -10.8%Fund Composite Benchmark -12.18%Fund Composite Benchmark -14.23%Fund Composite Benchmark -16.15%Fund Composite Benchmark -20.05%Fund Composite Benchmark -18.15%Fund Composite Benchmark -12.11%Fund Composite Benchmark -12.4%Fund Composite Benchmark -9.74%Fund Composite Benchmark -4.78%Fund Composite Benchmark -3.91%Fund Composite Benchmark -2.32%Fund Composite Benchmark -7.36%Fund Composite Benchmark -4.25%Fund Composite Benchmark -7.92%Fund Composite Benchmark -7.01%Fund Composite Benchmark -4.17%Fund Composite Benchmark 0.49%Fund Composite Benchmark 3.01%Fund Composite Benchmark 5.86%Fund Composite Benchmark 2.61%Fund Composite Benchmark -1.12%Fund Composite Benchmark -1.34%Fund Composite Benchmark 0.23%Fund Composite Benchmark 0.29%Fund Composite Benchmark -1.53%Fund Composite Benchmark -1.69%Fund Composite Benchmark -5.43%Fund Composite Benchmark -2.15%Fund Composite Benchmark -4.7%Fund Composite Benchmark -13.31%Fund Composite Benchmark -4.33%Fund Composite Benchmark -2.68%Fund Composite Benchmark 2.77%Fund Composite Benchmark 0%
 
CUMULATIVE PERFORMANCE Performance to: 06/11/2009
% Return 3 MTD 6 MTD 1 Year YTD
Prudential Growth Acc A +10.87 +19.93 +35.44 +29.23
 
Fund DetailsValuation date: 06/11/2009
Nav(GBX)70.78
Change+0.69
% Change**+0.98
** since previous valuation date 05/11/2009
Fund Information
ISIN GB0001141166
SEDOL 0114116
MEXID PUBGI