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Growth Fund 2

This fund was launched on 03/02/2022, therefore fund price history is only available from this date.

Displaying: 06/02/2025 to 01/01/2025

Date Price (£) Day's movement (£) Year's high (£) Year's low (£) Yield (%)
06/02/2025 1.1560 0.0080 1.1570 1.0360 1.9
05/02/2025 1.1480 -0.0010 1.1570 1.0360 1.9
04/02/2025 1.1490 -0.0020 1.1570 1.0360 1.9
03/02/2025 1.1510 -0.0050 1.1570 1.0360 1.9
31/01/2025 1.1560 0.0030 1.1570 1.0270 1.9
30/01/2025 1.1530 0.0020 1.1570 1.0270 1.9
29/01/2025 1.1510 0.0060 1.1570 1.0270 1.9
28/01/2025 1.1450 -0.0040 1.1570 1.0270 1.9
27/01/2025 1.1490 -0.0080 1.1570 1.0270 1.9
24/01/2025 1.1570 0.0010 1.1570 1.0220 1.9
23/01/2025 1.1560 0.0000 1.1560 1.0210 1.9
22/01/2025 1.1560 0.0050 1.1560 1.0190 1.9
21/01/2025 1.1510 -0.0020 1.1530 1.0190 1.9
20/01/2025 1.1530 0.0050 1.1530 1.0190 1.9
17/01/2025 1.1480 0.0060 1.1480 1.0130 1.9
16/01/2025 1.1420 0.0100 1.1450 1.0130 1.9
15/01/2025 1.1320 0.0020 1.1450 1.0130 1.9
14/01/2025 1.1300 0.0040 1.1450 1.0130 1.9
13/01/2025 1.1260 -0.0070 1.1450 1.0130 1.9
10/01/2025 1.1330 0.0000 1.1450 1.0130 1.9
09/01/2025 1.1330 0.0050 1.1450 1.0130 1.9
08/01/2025 1.1280 -0.0030 1.1450 1.0130 1.9
07/01/2025 1.1310 -0.0010 1.1450 1.0130 1.9
06/01/2025 1.1320 0.0040 1.1450 1.0130 1.9
03/01/2025 1.1280 0.0030 1.1450 1.0130 1.9
02/01/2025 1.1250 0.0020 1.1450 1.0130 1.9