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WS Canlife Portfolio IV C Acc (0P00010MB2.L)

LSE - LSE Delayed price. Currency in GBp (0.01 GBP)
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157.46+0.50 (+0.32%)
At close: 09:00PM BST

Performance overview

Morningstar return ratingN/A1
Year-to-date return3.07%
5-year average return3.28%
Number of years up8
Number of years down2
Best 1-yr total return (14 Jun 2024)10.64%
Worst 1-yr total return (14 Jun 2024)N/A
Best 3-yr total return10.64%
Worst 3-yr total return0.94%

Trailing returns (%) vs. Benchmarks

Time periods longer than one year are annualised.
Return0P00010MB2.LCategory
YTD2.27%0.00%
1-month0.50%0.00%
3-month2.28%0.00%
1-year8.27%0.00%
3-year1.56%0.00%
5-year3.41%0.00%
10-year4.43%0.00%
Last bull market0.00%0.00%
Last bear market0.00%0.00%

Annual total return (%) history

Year
0P00010MB2.LCategory
2024
N/AN/A
2023
7.30%N/A
2022
-9.12%N/A
2021
7.30%N/A
2020
5.46%N/A
2019
10.64%N/A
2018
-3.89%N/A
2017
6.30%N/A
2016
10.61%N/A
2015
3.28%N/A
2014
7.59%N/A

Past quarterly returns (%)

YearQ1Q2Q3Q4
20242.64%N/AN/AN/A
20232.18%-0.59%0.56%5.05%
2022-2.27%-7.06%-3.08%3.23%
20210.26%3.07%1.65%2.15%
2020-9.24%10.10%0.33%5.19%
20194.74%3.02%2.56%-0.03%
2018-2.56%3.78%-0.09%-4.87%
20172.47%0.38%0.68%2.64%
20160.37%2.42%6.73%0.81%
20154.15%-1.95%-2.26%3.48%
20140.36%0.80%2.13%4.14%

Rank in category (by total return)

YTD68
1-month78
3-month45
1-year58
3-year37
5-year41

Load adjusted returns

1-year8.27%
3-year1.56%
5-year3.41%
10-year4.43%