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IFSL Equilibrium Cautious Portfolio arrow
Name Sedol Nav Yield Valuation Date/Point More Info
IFSL Equilibrium Cautious Portfolio A Accumulation Sedol: BYXHQY1 Nav: 1.0850 Yield: 1.38% Valuation Date/Point: 21/03/2023 - 12:00 More Details →
IFSL Equilibrium Balanced Portfolio arrow
Name Sedol Nav Yield Valuation Date/Point More Info
IFSL Equilibrium Balanced Portfolio A Accumulation Sedol: BYXHQX0 Nav: 1.1000 Yield: 1.28% Valuation Date/Point: 21/03/2023 - 12:00 More Details →
IFSL Equilibrium Adventurous Portfolio arrow
Name Sedol Nav Yield Valuation Date/Point More Info
IFSL Equilibrium Adventurous Portfolio A Accumulation Sedol: BYXHQW9 Nav: 1.1100 Yield: 0.99% Valuation Date/Point: 21/03/2023 - 12:00 More Details →
IFSL Equilibrium Global Equity Portfolio arrow
Name Sedol Nav Yield Valuation Date/Point More Info
IFSL Equilibrium Global Equity Portfolio A Acc Sedol: BMZN3Z3 Nav: 1.0670 Yield: 0.53% Valuation Date/Point: 21/03/2023 - 12:00 More Details →
IFSL Equilibrium Defensive Portfolio arrow
Name Sedol Nav Yield Valuation Date/Point More Info
IFSL Equilibrium Defensive Portfolio A Accumulation Sedol: BMYC715 Nav: 0.9299 Yield: 0.53% Valuation Date/Point: 21/03/2023 - 12:00 More Details →