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Fund Name Sector sort Bid Price sort Daily Price Change %sort Price Date sort Launch
Date
Chart Factsheet Fund Profiles
Aviva Irl BlackRock Euro Absolute Return Fund (O) IDP Euro Equity 1.18 -0.53 down 23.05.13 02.06.09 view chart Factsheet   
Aviva Irl BlackRock Gold Fund (O) IDP Specialist Funds 0.69 -0.35 down 23.05.13 02.06.09 view chart Factsheet   
Aviva Irl BlackRock Mining Fund (O) IDP Specialist Funds 0.87 -3.13 down 23.05.13 02.06.09 view chart Factsheet   
Aviva Irl BlackRock New Energy Fund (O) IDP Specialist Funds 0.93 -2.32 down 23.05.13 02.06.09 view chart Factsheet   
Aviva Irl BlackRock World Energy Fund (O) IDP Specialist Funds 1.08 -2.36 down 23.05.13 02.06.09 view chart Factsheet   
Aviva IRL Blue Chip Corporate Bond (O) IDP Fixed Interest 1.35 -0.18 down 23.05.13 09.04.09 view chart Factsheet   
Aviva Irl Bond Fund (O) IDP Fixed Interest 2.51 -0.46 down 23.05.13 02.01.01 view chart Factsheet   
Aviva Irl Cash Fund (C) IDP Cash 1.65 0.00 no change 23.05.13 01.03.83 view chart Factsheet   
Aviva Irl Cash Fund Series 2 (O) IDP Cash 1.01 0.00 no change 23.05.13 03.01.97 view chart Factsheet   
Aviva Irl Cautious Multi Asset Fund IDP Managed Cautious 10.80 -0.62 down 23.05.13 31.05.11 view chart Factsheet   
Aviva Irl Consensus Managed Fund (O) IDP Managed Balanced 1.43 -1.26 down 23.05.13 02.10.00 view chart Factsheet   
Aviva Irl Dynamic Multi Asset Fund IDP Managed Aggressive 11.75 -1.49 down 23.05.13 31.05.11 view chart Factsheet   
Aviva Irl High Yield Equity Fund (O) IDP High Yield Equity 2.17 -1.38 down 23.05.13 20.02.01 view chart Factsheet   
Aviva Irl Index Linked Bond Fund (O) IDP Index Linked 1.08 -0.12 down 23.05.13 09.04.09 view chart Factsheet   
Aviva Irl Latin American Equity Fund (O) IDP Emerging Market Equity 3.41 -0.56 down 23.05.13 01.12.99 view chart Factsheet   
Aviva Irl Merrion Managed (O) IDP Managed Balanced 11.46 -1.62 down 23.05.13 04.01.99 view chart Factsheet   
Aviva Irl Protected Growth Fund (O) IDP Managed Balanced 10.01 -0.59 down 23.05.13 03.03.10 view chart Factsheet   
Aviva Irl Strategic Multi Asset Fund IDP Managed Aggressive 11.24 -0.96 down 23.05.13 31.05.11 view chart Factsheet   
Aviva Irl UK Property Fund Series 2 (O) IDP Property 0.62 -0.11 down 23.05.13 11.04.07 view chart Factsheet   
Aviva Irl Balanced Managed Fund (O) IDP Managed Balanced 1.47 -1.28 down 23.05.13 01.02.83 view chart Factsheet   
Fund Name 1 Month % YTD % 1 Year % 3 Year % 5 Year % Since Launch %sort Launch
Date
Chart Factsheet Fund Profiles
  Aviva Irl BlackRock Euro Absolute Return Fund (O) 0.28 0.61 2.17 5.35 - 4.22 02.06.09 view chart Factsheet   
  Aviva Irl BlackRock Gold Fund (O) -5.97 -36.57 -31.91 -12.94 - -9.35 02.06.09 view chart Factsheet   
  Aviva Irl BlackRock Mining Fund (O) -0.89 -23.40 -16.29 -8.18 - -4.63 02.06.09 view chart Factsheet   
  Aviva Irl BlackRock New Energy Fund (O) 4.61 14.37 18.44 -0.50 - -2.39 02.06.09 view chart Factsheet   
  Aviva Irl BlackRock World Energy Fund (O) 3.86 8.92 9.25 4.05 - 1.14 02.06.09 view chart Factsheet   
  Aviva IRL Blue Chip Corporate Bond (O) 0.28 1.81 9.51 5.14 - 7.59 09.04.09 view chart Factsheet   
  Aviva Irl Bond Fund (O) -0.14 2.92 11.12 3.40 5.40 5.33 02.01.01 view chart Factsheet   
  Aviva Irl Cash Fund (C) 0.00 0.01 0.07 0.43 1.41 2.10 01.03.83 view chart Factsheet   
  Aviva Irl Cash Fund Series 2 (O) -0.05 -0.25 -0.57 0.12 - 0.28 03.01.97 view chart Factsheet   
  Aviva Irl Cautious Multi Asset Fund 0.14 2.06 4.97 - - 3.92 31.05.11 view chart Factsheet   
  Aviva Irl Consensus Managed Fund (O) 2.92 10.60 20.55 9.98 2.94 2.91 02.10.00 view chart Factsheet   
  Aviva Irl Dynamic Multi Asset Fund 3.13 10.31 17.56 - - 8.32 31.05.11 view chart Factsheet   
  Aviva Irl High Yield Equity Fund (O) 3.19 13.49 21.58 13.03 5.68 4.44 20.02.01 view chart Factsheet   
  Aviva Irl Index Linked Bond Fund (O) -0.82 -0.67 3.98 0.40 - 1.83 09.04.09 view chart Factsheet   
  Aviva Irl Latin American Equity Fund (O) -1.08 1.76 11.35 2.85 -1.16 8.04 01.12.99 view chart Factsheet   
  Aviva Irl Merrion Managed (O) 3.51 10.61 22.68 9.10 3.92 5.29 04.01.99 view chart Factsheet   
  Aviva Irl Protected Growth Fund (O) 1.00 0.47 4.04 0.62 - 0.03 03.03.10 view chart Factsheet   
  Aviva Irl Strategic Multi Asset Fund 1.25 5.44 10.67 - - 5.98 31.05.11 view chart Factsheet   
  Aviva Irl UK Property Fund Series 2 (O) 0.21 -1.74 -2.85 0.62 -3.99 -7.54 11.04.07 view chart Factsheet   
  Aviva Irl Balanced Managed Fund (O) 3.12 11.75 21.71 9.18 0.86 1.52 01.02.83 view chart Factsheet   
Fund Name 1 Month % YTD % 1 Year %sort 3 Year %sort 5 Year %sort Since Launch %sort Launch
Date sort
Chart Factsheet Fund Profiles
  Aviva Irl BlackRock Euro Absolute Return Fund (O) 0.28 0.61 2.17 16.93 - 17.86 02.06.09 view chart Factsheet   
  Aviva Irl BlackRock Gold Fund (O) -5.97 -36.57 -31.91 -34.00 - -32.31 02.06.09 view chart Factsheet   
  Aviva Irl BlackRock Mining Fund (O) -0.89 -23.40 -16.29 -22.58 - -17.16 02.06.09 view chart Factsheet   
  Aviva Irl BlackRock New Energy Fund (O) 4.61 14.37 18.44 -1.49 - -9.18 02.06.09 view chart Factsheet   
  Aviva Irl BlackRock World Energy Fund (O) 3.86 8.92 9.25 12.66 - 4.61 02.06.09 view chart Factsheet   
  Aviva IRL Blue Chip Corporate Bond (O) 0.28 1.81 9.51 16.21 - 35.19 09.04.09 view chart Factsheet   
  Aviva Irl Bond Fund (O) -0.14 2.92 11.12 10.55 30.08 90.27 02.01.01 view chart Factsheet   
  Aviva Irl Cash Fund (C) 0.00 0.01 0.07 1.28 7.23 30.00 01.03.83 view chart Factsheet   
  Aviva Irl Cash Fund Series 2 (O) -0.05 -0.25 -0.57 0.36 - 0.93 03.01.97 view chart Factsheet   
  Aviva Irl Cautious Multi Asset Fund 0.14 2.06 4.97 - - 7.92 31.05.11 view chart Factsheet   
  Aviva Irl Consensus Managed Fund (O) 2.92 10.60 20.55 33.01 15.57 50.06 02.10.00 view chart Factsheet   
  Aviva Irl Dynamic Multi Asset Fund 3.13 10.31 17.56 - - 17.16 31.05.11 view chart Factsheet   
  Aviva Irl High Yield Equity Fund (O) 3.19 13.49 21.58 44.41 31.82 70.70 20.02.01 view chart Factsheet   
  Aviva Irl Index Linked Bond Fund (O) -0.82 -0.67 3.98 1.21 - 7.76 09.04.09 view chart Factsheet   
  Aviva Irl Latin American Equity Fund (O) -1.08 1.76 11.35 8.80 -5.67 160.55 01.12.99 view chart Factsheet   
  Aviva Irl Merrion Managed (O) 3.51 10.61 22.68 29.84 21.20 61.99 04.01.99 view chart Factsheet   
  Aviva Irl Protected Growth Fund (O) 1.00 0.47 4.04 1.88 - 0.11 03.03.10 view chart Factsheet   
  Aviva Irl Strategic Multi Asset Fund 1.25 5.44 10.67 - - 12.20 31.05.11 view chart Factsheet   
  Aviva Irl UK Property Fund Series 2 (O) 0.21 -1.74 -2.85 1.88 -18.44 -38.12 11.04.07 view chart Factsheet   
  Aviva Irl Balanced Managed Fund (O) 3.12 11.75 21.71 30.16 4.39 21.09 01.02.83 view chart Factsheet   
Fund Namesort 24.05.12 to 24.05.13%sort 24.05.11 to 24.05.12%sort 24.05.10 to 24.05.11%sort 24.05.09 to 24.05.10%sort 24.05.08 to 24.05.09%sort Chart Factsheet Fund Profiles
  Aviva Irl BlackRock Euro Absolute Return Fund (O) 2.17 11.57 2.57 - - view chart Factsheet   
  Aviva Irl BlackRock Gold Fund (O) -31.91 -24.36 28.13 - - view chart Factsheet   
  Aviva Irl BlackRock Mining Fund (O) -16.29 -34.24 40.62 - - view chart Factsheet   
  Aviva Irl BlackRock New Energy Fund (O) 18.44 -16.03 -0.95 - - view chart Factsheet   
  Aviva Irl BlackRock World Energy Fund (O) 9.25 -24.87 37.25 - - view chart Factsheet   
  Aviva IRL Blue Chip Corporate Bond (O) 9.51 5.04 1.02 15.13 - view chart Factsheet   
  Aviva Irl Bond Fund (O) 11.12 11.20 -10.52 13.87 3.33 view chart Factsheet   
  Aviva Irl Cash Fund (C) 0.07 0.31 0.89 2.70 3.09 view chart Factsheet   
  Aviva Irl Cash Fund Series 2 (O) -0.57 0.12 0.82 - - view chart Factsheet   
  Aviva Irl Cautious Multi Asset Fund 4.97 - - - - view chart Factsheet   
  Aviva Irl Consensus Managed Fund (O) 20.55 2.13 8.03 17.68 -26.17 view chart Factsheet   
  Aviva Irl Dynamic Multi Asset Fund 17.56 - - - - view chart Factsheet   
  Aviva Irl High Yield Equity Fund (O) 21.58 5.10 13.01 27.19 -28.23 view chart Factsheet   
  Aviva Irl Index Linked Bond Fund (O) 3.98 -1.03 -1.65 3.49 - view chart Factsheet   
  Aviva Irl Latin American Equity Fund (O) 11.35 -9.65 8.15 32.30 -34.47 view chart Factsheet   
  Aviva Irl Merrion Managed (O) 22.68 1.67 4.10 21.36 -23.09 view chart Factsheet   
  Aviva Irl Protected Growth Fund (O) 4.04 -6.52 4.75 - - view chart Factsheet   
  Aviva Irl Strategic Multi Asset Fund 10.67 - - - - view chart Factsheet   
  Aviva Irl UK Property Fund Series 2 (O) -2.85 1.17 3.66 19.40 -32.95 view chart Factsheet   
  Aviva Irl Balanced Managed Fund (O) 21.71 -1.19 8.23 15.97 -30.84 view chart Factsheet   
Fund Name
Bid Price
Price date
Get Price
  Aviva Irl BlackRock Euro Absolute Return Fund (O) 1.18  
  Aviva Irl BlackRock Gold Fund (O) 0.69  
  Aviva Irl BlackRock Mining Fund (O) 0.87  
  Aviva Irl BlackRock New Energy Fund (O) 0.93  
  Aviva Irl BlackRock World Energy Fund (O) 1.08  
  Aviva IRL Blue Chip Corporate Bond (O) 1.35  
  Aviva Irl Bond Fund (O) 2.51  
  Aviva Irl Cash Fund (C) 1.65  
  Aviva Irl Cash Fund Series 2 (O) 1.01  
  Aviva Irl Cautious Multi Asset Fund 10.80  
  Aviva Irl Consensus Managed Fund (O) 1.43  
  Aviva Irl Dynamic Multi Asset Fund 11.75  
  Aviva Irl High Yield Equity Fund (O) 2.17  
  Aviva Irl Index Linked Bond Fund (O) 1.08  
  Aviva Irl Latin American Equity Fund (O) 3.41  
  Aviva Irl Merrion Managed (O) 11.46  
  Aviva Irl Protected Growth Fund (O) 10.01  
  Aviva Irl Strategic Multi Asset Fund 11.24  
  Aviva Irl UK Property Fund Series 2 (O) 0.62  
  Aviva Irl Balanced Managed Fund (O) 1.47  
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Notes:
  • Source: Financial Express.
  • The factsheet PDFs are about 300KB, the performance summary PDF is about 200KB.
  • Key: view chart - Chart (This link will open in a new window); Performance Summary - PDF output (This link will open in a new window).
  • The figures quoted above are calculated on a Bid to Bid basis with income reinvested. They are inclusive of fund management charges but exclusive of product charges. The performance above is based on the last available unit price for each fund. The performance data uses prices that are guides only for the date shown and may be rounded. The prices used for a transaction will depend on the date and time of your request. The exact price used in a transaction may vary from the price shown here. The date of the price shown is the date on which these were calculated and reflects the close of markets of the previous working day.
  • Charges vary by share class which impacts performance.
  • IDP means it is an Irish Domestic Pension Fund or it is the Irish Domestic Pension Fund sector. ILG means it is an Irish Insurance Gross Fund or it is the Irish Insurance Gross Fund sector. ILN means it is an Irish Insurance Net Fund or it is the Irish Insurance Net Fund sector. All ILG Funds quoted are gross of tax and all ILN Funds are quoted net of tax. IDP funds are tax exempt.
  • (O) at the end of a fund name indicates the fund is open to new business. (C) at the end of a fund name indicates the fund is closed to new business.
  • ‘- ‘means the fund was not in existence at this time.
  • Fund availability varies by product type. Please contact your Financial Adviser for details of the funds available by product type.
  • All links to fact sheets or charts open a new window. Get Adobe Reader Accessibility PDF tools from Adobe

Warning: Past performance is not a reliable guide to future performance.
Warning: The value of your investment may go down as well as up.
Warning: If you invest in this fund you may lose some or all the money you invest.
Warning: These funds may be affected by changes in currency exchange rates.
Warning: A deferral period may apply to withdrawals and/or switches from certain funds. Please refer to your product documentation for further details.

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