Fund:
Prudential Growth Acc A
Currency:
GBP
Sector Name:
Active Managed
NAV:
79.37
02/09/2010
Discrete Performance
2009:
38.23%
2008:
-24.21%
2007:
12.92%
2006:
17.73%
2005:
-
Cumulative Performance
1M:
1.24%
6M:
-0.10%
1YR:
20.35%
5YR:
57.54%
^SI:
76.50%
One Month
Three Months
Six Months
Year to Date
One Year
Three Years
Five Years
Ten Years
Since Launch