Scottish Widows Momentum Income Portfolio A Net Inc NAV

-0.23%
-0.30p
128.40p
n/a

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128.40p
n/a
DAILY VARIATION
-0.23%
-0.30p
VOLUME
n/a
ANNUAL VARIATION
6.38%
£0.08
DATA
52 Week High
n/a
Beta
n/a
52 Week Low
n/a

Price Info

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Date: 28 Jan, 2015 NAV: 1.28p
Currency: GBP Change: -0.30
Change %: -0.23% YTD change: --
YTD %: --

Fund facts

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Fund Inception: n/a Fund Manager:

Minimum Investment

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Initial: n/a Additional: n/a
Savings: n/a

Charges

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Initial: n/a Annual Mang't: n/a
Exit: n/a