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Funds Centre

Performances as at: 20/06/2008

Data provided by:

Morningstar

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Wealth 150 Funds

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Funds provided by SWIP Unit Trust Mgrs

Funds provided by SWIP Unit Trust Mgrs
Performance1
Fund Name Morningstar Rating2 Fund Rating3 Annual Management Charge (%) 1 Year Change (%) Quartile Rank over 1 Year 3 Years Change (%) Quartile Rank over 3 Years Performance Details
SW Adventurous Solution A Acc Not rated Not rated 2.5 -10.19 4     Performance Details for SW Adventurous Solution A Acc
SW Balanced Solution A Acc Not rated Not rated 2.5 -9.45 4     Performance Details for SW Balanced Solution A Acc
SW Cautious Solution A Inc Not rated Not rated 2.5 -4.97 3     Performance Details for SW Cautious Solution A Inc
SW Defensive Solution A Inc Not rated Not rated 2.5 -5.05 3     Performance Details for SW Defensive Solution A Inc
SW Discovery Solution A Inc Not rated Not rated 2.5 -7.39 3     Performance Details for SW Discovery Solution A Inc
SW Dynamic Solution A Acc Not rated Not rated 2.5 -11 4     Performance Details for SW Dynamic Solution A Acc
SW Strategic Solution A Acc Not rated Not rated 2.5 -10.68 4     Performance Details for SW Strategic Solution A Acc
SWIP Absolute Rtn Bond A ACC Not rated Not rated 1 4.24       Performance Details for SWIP Absolute Rtn Bond A ACC
SWIP Absolute Rtn UK Eq A ACC Not rated Not rated 1.5 -5.87       Performance Details for SWIP Absolute Rtn UK Eq A ACC
SWIP Capital 3 stars Not rated 1.5 -8.94 3 24.42 3 Performance Details for SWIP Capital
SWIP MM Glb Real Est Sec A Inc Not rated Not rated 1.75 -14.25 2     Performance Details for SWIP MM Glb Real Est Sec A Inc
SWIP UK Real Estate A Acc Not rated Not rated 1.5 -42.7 4     Performance Details for SWIP UK Real Estate A Acc

Notes about the table

1All performances are expressed as percentage change, calculated in sterling on a bid-to-bid basis with dividend income reinvested gross of any applicable taxes. Quartile rankings descend from 1 (top 25%) to 4 (bottom 25%).

2The Morningstar Rating are a rating of the risk-return profile of a fund, calculated using a fund’s monthly performance relative to its sector average for each of the 36 months over the three years to date. The average and volatility of these 36 numbers is used to calculate a fund’s star rating. More stars are better. You may wish to read further about the history of the fund star ranking.

3Fund Ratings aim to identify investment funds that have provided consistently strong performance year after year relative to a meaningful peer group. You may wish to read more about the fund rating process.