Pru Life PruFund 40-80 Account S5

Essentials Portfolio Analysis Background Data Risk Performance View PDF Factsheet

Performance

Discrete Performance - to last month end

31/05/12 to 31/05/13 31/05/11 to 31/05/12 31/05/10 to 31/05/11 31/05/09 to 31/05/10 31/05/08 to 31/05/09
Fund 6.65% - - - -
Sector 17.33% -5.02% 11.05% 17.73% -14.42%
Rank 486/668 - - - -
Quartile 3 - - - -

Annualised Performance

3Y 5Y 10Y
Fund - - -
Sector 7.36% 4.51% 6.36%
Rank - - -
Quartile - - -

Fund Aims

The fund aims to achieve long-term total return (the combination of income and growth of capital). It is an actively managed fund with a well diversified exposure to UK and international equities, property, fixed interest securities, index-linked securities and other specialist investments. Typically the fund will have a bias towards assets providing potential for growth such as equities, with between 40% and 80% of the fund being invested in equities.

Fund Manager

Matthew Williams manager for 0 years and 2 months

Photo of Matthew Williams Matthew joined the Prudential Group in December 1991 as a bond fund manager. His current responsibilities are to ensure the sound management of all the Prudential Unit Trust and Unit Linked funds. Matthew also has specific responsibility for implementing asset allocation within these multi-asset funds. Prior to this Matthew worked for Morley Asset Management as a graduate trainee and then a bond Fund Manager. Matthew graduated from York University in 1989 with a BA Hons in Mathematics.

Fund Overview

Bid (18/06/2013) 110.96
Offer n/a
Fund size -
Number of holdings -
Annual management charge 1.75%
Launch date 07/11/2011
Portfolio data accurate as at: 31/12/12

Important Information

Source of portfolio data: FundsLibrary. Source of performance data: Financial Express Please remember that past performance is not a reliable indicator of future performance. The figures shown are intended only to demonstrate performance history of the fund and take no account of product charges. Fund performance is based upon the movement of the daily price. Performance figures show total return with net income reinvested in GBP. The value of your investment may go down as well as up and the fund value may be less than the payments you have made.This factsheet is for investment professionals and is for information purposes only. Should you wish to present any of this content to your client, please refer to similar pages on www.pru.co.uk. Every care has been taken in populating this output, however it must be appreciated that neither Funds Library, Prudential nor their sources guarantee the accuracy, adequacy or completeness of this report or make any warranties regarding results from its usage. You should refer to your client’s policy documentation and supporting brochures for fund availability, investment strategy, any product information and charges. The registered office of Prudential is at Laurence Pountney Hill, London EC4R 0HH. Registered number 15454. The registered office of Prudential is at Laurence Pountney Hill, London EC4R 0HH. Registered number 15454.

Asset Allocation

UK Equities
 
 
18.00%
North American Equities
 
 
13.70%
European Equities
 
 
12.30%
Property
 
 
12.00%
Pacific Market Equities
 
 
10.40%
UK Fixed Interest
 
 
9.70%
US Fixed Interest
 
 
8.10%
Japanese Equities
 
 
4.80%
Other Equities
 
 
4.80%
Euro Fixed Interest
 
 
3.70%
Cash
 
 
2.00%
Asia Fixed Interest
 
 
0.50%
Other Investment Assets
 
 
0.00%
Portfolio data accurate as at: 31/12/12

Important Information

The Industry Classification Benchmark is a joint product of FTSE International Limited and Dow Jones & Company, Inc and has been licensed for use. This factsheet is for investment professionals and is for information purposes only. Should you wish to present any of this content to your client, please refer to similar pages on www.pru.co.uk. Every care has been taken in populating this output, however it must be appreciated that neither Funds Library, Prudential nor their sources guarantee the accuracy, adequacy or completeness of this report or make any warranties regarding results from its usage. You should refer to your client’s policy documentation and supporting brochures for fund availability, investment strategy, any product information and charges.

Identification Codes

Sedol Code B60JT67
Mex Code PUPASV
Isin Code GB00B60JT672
Citi Code 0I41

Charges

Annual management charge 1.75%

Aims and Benchmark

Benchmark Unconstrained
ABI Sector Unclassified
Aims The fund aims to achieve long-term total return (the combination of income and growth of capital). It is an actively managed fund with a well diversified exposure to UK and international equities, property, fixed interest securities, index-linked securities and other specialist investments. Typically the fund will have a bias towards assets providing potential for growth such as equities, with between 40% and 80% of the fund being invested in equities.

Fund Background

Launch date 07/11/2011

Ratings

Risk Analysis

Ratio Value
Alpha -
Beta -
Sharpe -
Standard Deviation -
Info Ratio -

Important Information

The risk factor definitions are provided by FundsLibrary. These definitions may differ from those of Prudential or any underlying fund manager. The data itself is provided by Prudential or the underlying fund manager. This factsheet is for investment professionals and is for information purposes only. Every care has been taken in populating this output, however it must be appreciated that neither Funds Library, Prudential nor their sources guarantee the accuracy, adequacy or completeness of this report or make any warranties regarding results from it's usage. You should refer to your client’s policy documentation and supporting brochures for fund availability, investment strategy, any product information and charges.