FPI logo

Fund selection

Fund range
Search funds
search
Fund Manager Help
Sector Help
Fund currency
FPI Risk Rating Help
Fund Flags Help
Mirror fund regulator
   approval
Help
Reset

Options Funds (Iceland)

Welcome to the Aviva Options (Iceland) Fund Centre. Use the fund selection options on the left to search and filter the available funds. Use the tabs above the table to view information on funds meeting your criteria. Add funds to your shortlist by clicking the '+' icon next to each fund name. Shortlisted funds can be compared and analysed in more detail using group factsheet and performance charting functions. If you have any questions or feedback on the Fund Centre, please contact us.

This page is for information only and should not be considered as a financial promotion. Whilst every effort is made to ensure the accuracy of this data, it should not be relied upon for buying and selling decisions. The information shown refers to the past. Past performance is not a reliable guide to future performance. The value of an investment and any income from it is not guaranteed and may rise and fall depending upon the underlying investment performance and currency exchange rates. We recommend that you speak to your financial adviser before making any investment decisions.

  • First |
  • < Prev
  • | 1 - 15 of 15
  • | Next >
  • | Last
Fund name Fund
currency
Sector Help Bid
price
Help
Offer
price
Help
Price
date
Info
Aviva Life Pacific Basin GBP ABI Asia Pacific including Japan Equities £5.963 £6.277 14/05/21 view factsheet (PDF) Chart
Aviva Life European GBP ABI Europe excluding UK Equities £15.097 £15.892 14/05/21 view factsheet (PDF) Chart
Aviva Life Global Equity GBP ABI Global Equities £16.481 £17.349 14/05/21 view factsheet (PDF) Chart
Aviva Life Investec Cautious Managed GBP ABI Mixed Investment 20-60% Shares £2.051 £2.159 14/05/21 view factsheet (PDF) Chart
Aviva Life Managed GBP ABI Mixed Investment 40-85% Shares £11.739 £12.356 14/05/21 view factsheet (PDF) Chart
Aviva Life Stewardship Managed GBP ABI Mixed Investment 40-85% Shares £3.706 £3.901 14/05/21 view factsheet (PDF) Chart
Aviva Life Cash GBP ABI Money Market £3.235 £3.406 14/05/21 view factsheet (PDF) Chart
Aviva Life North American GBP ABI North America Equities £11.131 £11.717 14/05/21 view factsheet (PDF) Chart
Aviva Life Fidelity Moneybuilder Income Acc GBP ABI Sterling Corporate Bond £1.947 £2.050 14/05/21 view factsheet (PDF) Chart
Aviva Life Fixed Interest GBP ABI Sterling Fixed Interest £7.866 £8.280 14/05/21 view factsheet (PDF) Chart
Aviva Life Stewardship GBP ABI UK All Companies £16.882 £17.770 14/05/21 view factsheet (PDF) Chart
Aviva Life UK Equity GBP ABI UK All Companies £16.270 £17.126 14/05/21 view factsheet (PDF) Chart
Aviva Life UK Index Tracking GBP ABI UK All Companies £2.346 £2.469 14/05/21 view factsheet (PDF) Chart
Aviva Life Property GBP ABI UK Direct Property - - 14/05/21 view factsheet (PDF) Chart
Aviva Life Index Linked GBP ABI UK Index - Linked Gilts £6.949 £7.315 14/05/21 view factsheet (PDF) Chart
Export to PDF  Pdf Export to Excel  Excel
Fund name 1 year 3 years 5 years 10 years Since
launch
Launch
date
Info
Aviva Life Pacific Basin 20.42% 17.99% 77.79% 7.40% 529.67% 20/01/87 view factsheet (PDF) Chart
Aviva Life European 27.25% 10.29% 52.48% 7.26% 1390.33% 21/01/87 view factsheet (PDF) Chart
Aviva Life Global Equity 26.64% 40.29% 94.42% 12.09% 1634.84% 01/05/83 view factsheet (PDF) Chart
Aviva Life Investec Cautious Managed 18.69% -1.82% 12.08% 2.53% 105.10% 17/10/03 view factsheet (PDF) Chart
Aviva Life Managed 17.26% 12.43% 35.15% 5.31% 1136.07% 10/05/83 view factsheet (PDF) Chart
Aviva Life Stewardship Managed 19.86% 31.23% 68.23% 9.00% 290.11% 30/10/98 view factsheet (PDF) Chart
Aviva Life Cash -0.71% -1.13% -2.03% -0.38% 240.53% 01/05/83 view factsheet (PDF) Chart
Aviva Life North American 26.65% 40.85% 105.79% 14.11% 1066.77% 20/01/87 view factsheet (PDF) Chart
Aviva Life Fidelity Moneybuilder Income Acc 3.13% 8.53% 14.87% 3.86% 94.70% 17/10/03 view factsheet (PDF) Chart
Aviva Life Fixed Interest -2.94% 7.53% 13.64% 4.04% 708.84% 31/05/83 view factsheet (PDF) Chart
Aviva Life Stewardship 19.01% 11.91% 41.44% 6.70% 1682.49% 31/05/84 view factsheet (PDF) Chart
Aviva Life UK Equity 28.66% 4.52% 38.55% 4.96% 1567.86% 31/05/83 view factsheet (PDF) Chart
Aviva Life UK Index Tracking 23.28% 1.96% 32.84% 4.96% 146.95% 30/11/98 view factsheet (PDF) Chart
Aviva Life Property 3.71% 3.21% 9.25% 4.64% 561.33% 31/05/83 view factsheet (PDF) Chart
Aviva Life Index Linked -3.20% 10.78% 30.96% 5.74% 653.44% 31/05/83 view factsheet (PDF) Chart
Export to PDF  Pdf Export to Excel  Excel
Fund name 1 month 3 months 6 months Year to date Info
Aviva Life Pacific Basin -5.32% -8.54% 2.65% -1.57% view factsheet (PDF) Chart
Aviva Life European -0.78% 2.43% 8.46% 2.43% view factsheet (PDF) Chart
Aviva Life Global Equity -2.65% 0.44% 6.10% 3.39% view factsheet (PDF) Chart
Aviva Life Investec Cautious Managed 0.44% 1.74% 6.77% 3.90% view factsheet (PDF) Chart
Aviva Life Managed -0.39% 0.89% 5.52% 2.30% view factsheet (PDF) Chart
Aviva Life Stewardship Managed -1.04% 2.23% 4.96% 2.01% view factsheet (PDF) Chart
Aviva Life Cash -0.06% -0.19% -0.40% -0.22% view factsheet (PDF) Chart
Aviva Life North American -2.33% 3.21% 7.38% 6.22% view factsheet (PDF) Chart
Aviva Life Fidelity Moneybuilder Income Acc -0.31% -1.67% 0.10% -2.41% view factsheet (PDF) Chart
Aviva Life Fixed Interest -0.78% -2.94% -2.60% -4.71% view factsheet (PDF) Chart
Aviva Life Stewardship 1.86% 7.15% 8.99% 5.88% view factsheet (PDF) Chart
Aviva Life UK Equity 1.07% 7.03% 14.13% 6.21% view factsheet (PDF) Chart
Aviva Life UK Index Tracking 1.25% 7.27% 11.61% 7.17% view factsheet (PDF) Chart
Aviva Life Property 0.21% 1.21% 4.00% 0.85% view factsheet (PDF) Chart
Aviva Life Index Linked -0.17% -1.43% -0.71% -4.13% view factsheet (PDF) Chart
Export to PDF  Pdf Export to Excel  Excel
Fund name 3 years 5 years 10 years Since
launch
3 yr Standard
Deviation
Info
Aviva Life Pacific Basin 8.67% 13.24% 7.40% 5.68% 11.75 view factsheet (PDF) Chart
Aviva Life European 4.93% 9.01% 7.26% 8.25% 16.06 view factsheet (PDF) Chart
Aviva Life Global Equity 14.36% 14.69% 12.09% 7.87% 13.58 view factsheet (PDF) Chart
Aviva Life Investec Cautious Managed -0.42% 2.05% 2.53% 4.16% 11.02 view factsheet (PDF) Chart
Aviva Life Managed 4.82% 6.34% 5.31% 6.87% 10.21 view factsheet (PDF) Chart
Aviva Life Stewardship Managed 11.08% 11.27% 9.00% 6.33% 10.63 view factsheet (PDF) Chart
Aviva Life Cash -0.38% -0.41% -0.38% 3.28% 0.15 view factsheet (PDF) Chart
Aviva Life North American 14.81% 16.10% 14.11% 7.51% 14.71 view factsheet (PDF) Chart
Aviva Life Fidelity Moneybuilder Income Acc 2.87% 3.03% 3.86% 3.89% 4.79 view factsheet (PDF) Chart
Aviva Life Fixed Interest 2.55% 2.87% 4.04% 5.67% 4.86 view factsheet (PDF) Chart
Aviva Life Stewardship 4.16% 6.67% 6.70% 8.09% 15.91 view factsheet (PDF) Chart
Aviva Life UK Equity 2.37% 6.40% 4.96% 7.70% 16.89 view factsheet (PDF) Chart
Aviva Life UK Index Tracking 1.37% 5.25% 4.96% 4.08% 16.51 view factsheet (PDF) Chart
Aviva Life Property 1.07% 1.75% 4.64% 5.10% 2.72 view factsheet (PDF) Chart
Aviva Life Index Linked 3.63% 5.71% 5.74% 5.46% 10.02 view factsheet (PDF) Chart
Export to PDF  Pdf Export to Excel  Excel
Fund name 31/03/16 to 31/03/17 31/03/17 to 31/03/18 31/03/18 to 31/03/19 31/03/19 to 31/03/20 31/03/20 to 31/03/21 Info
Aviva Life Pacific Basin 33.25% 7.59% 3.82% -6.97% 35.85% view factsheet (PDF) Chart
Aviva Life European 23.91% 4.70% -4.99% -9.03% 33.04% view factsheet (PDF) Chart
Aviva Life Global Equity 24.42% 3.76% 12.36% -3.87% 39.03% view factsheet (PDF) Chart
Aviva Life Investec Cautious Managed 14.07% -1.69% -1.18% -15.53% 18.97% view factsheet (PDF) Chart
Aviva Life Managed 12.91% 4.12% 0.10% -7.59% 22.86% view factsheet (PDF) Chart
Aviva Life Stewardship Managed 19.86% 2.35% 6.95% -0.24% 27.23% view factsheet (PDF) Chart
Aviva Life Cash -0.48% -0.52% -0.21% -0.12% -0.71% view factsheet (PDF) Chart
Aviva Life North American 31.52% 2.83% 12.71% -3.71% 39.70% view factsheet (PDF) Chart
Aviva Life Fidelity Moneybuilder Income Acc 6.19% 0.67% 2.00% 0.33% 5.50% view factsheet (PDF) Chart
Aviva Life Fixed Interest 6.79% 0.40% 2.88% 3.88% 0.27% view factsheet (PDF) Chart
Aviva Life Stewardship 13.37% 3.16% 5.02% -11.07% 22.74% view factsheet (PDF) Chart
Aviva Life UK Equity 19.86% 2.07% 5.17% -18.60% 28.94% view factsheet (PDF) Chart
Aviva Life UK Index Tracking 18.15% 1.29% 4.80% -18.65% 25.19% view factsheet (PDF) Chart
Aviva Life Property 1.42% 3.94% 1.02% 0.96% 1.16% view factsheet (PDF) Chart
Aviva Life Index Linked 14.48% 4.24% 6.72% 3.94% -2.05% view factsheet (PDF) Chart
Export to PDF  Pdf Export to Excel  Excel
  • First |
  • < Prev
  • | 1 - 15 of 15
  • | Next >
  • | Last

Shortlist   (0 funds)

No funds have been shortlisted - use the "+" icon to add funds

View shortlist

Source: FE - price and performance data as at 14/05/2021.

The performance figures shown have been calculated on a bid to bid basis. Fees and charges payable at product level through deduction of premium or cancellation of units are excluded from this calculation. Fund prices and performance figures are net of all fund charges. Please note that securities held within a fund may not be denominated in the currency of that fund and, as a result, fund prices may rise and fall purely on account of exchange rate fluctuations. Where you have selected to view a fund's performance in a currency other than its base currency, performance figures may be different to those produced elsewhere by Friends Provident International due to exchange rates being obtained from different sources and at different times.

All links to factsheets, PHS documents or charts open in a new window. Get Adobe Reader Accessibility PDF tools from Adobe

© FE 2021. All rights reserved. The Compilation of data contained herein is the copyright of FE. It may be copied only incidentally when viewing it on this web-site or to print single copies for internal use of those authorised to view it.

Whilst reasonable care has been taken in the compilation of the data it is not warranted to be accurate or complete and has been drawn by FE from sources which are also not warranted to be accurate and complete.

Copyright © 2021 Aviva. All rights reserved.

Loading Loading, please wait...
Short-term fund performance histories of less than one year will vary considerably depending on market conditions and should not be relied upon by individuals when making buying and selling decisions. Friends Provident International provides access to this data for research purposes only and it is not intended for promotional purposes.

You should be aware that the time periods shown are not of sufficient length to be a reliable indicator of a funds performance.
Do you want to proceed?
YesNo
 
{WarningMessage}
 
Ok
Changing fund ranges will remove previously selected funds.
 
Do you wish to proceed?  Yes  No