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Performance

NAV performance.

Share Price & NAV Per Share to 31 October 2018
Share Price
NAV per Share

View the investment track record for the Phoenix UK Fund which has been managed by Phoenix Asset Management Partners since May 1998. The investment strategy for the Phoenix UK Fund is being applied to the Aurora Investment Trust.

YearNAV ReturnShare Price Total ReturnFTSE All Share Index
2018 (YTD - 31 October)0.2%-0.2%-4.4%
201720.4%21.2%13.1%
20166.6%12.0%16.8%
Phoenix became investment manager of Aurora from January 2016
2015-2.3%4.3%0.9%
2014-11.3%-10.6%1.2%
20133.6%14.2%20.8%