Pension prices

Last updated 18 November 2008

  Unit Price Change on day
CIS With-profits Stakeholder Fund 121.715 -2.209
(S2) CIS With-profits Stakeholder Fund 119.531 -2.171
CIS Environ Pension Fund 105.154 -2.972
(S2) CIS Environ Pension Fund 103.305 -2.921
CIS European Growth Pension Fund 89.283 -3.200
(S2) CIS European Growth Pension Fund 87.708 -3.146
CIS FTSE All-share Index Tracker Pension Fund 92.525 +0.311
(S2) CIS FTSE All-share Index Tracker Pension Fund 90.883 +0.303
CIS UK Growth Pension Fund 93.500 -2.504
(S2) CIS UK Growth Pension Fund 91.838 -2.461
CIS US Growth Pension Fund 67.851 -2.410
(S2) CIS US Growth Pension Fund 66.650 -2.368
CIS Cash Pension Fund 128.295 -0.002
(S2) CIS Cash Pension Fund 126.201 -0.003
CIS Fixed-Interest Pension Fund 134.484 -0.430
(S2) CIS Fixed-Interest Pension Fund 129.016 -0.652
CIS With-Profits Pension Fund 133.543 -2.378
(S2) CIS With-Profits Pension 93.988 -1.675
Investment Solutions Active UK Equity Fund 105.655 +1.938
Investment Solutions Active Managed Fund 118.678 +2.149
Investment Solutions Active Global Equity Fund 102.969 +2.852
Investment Solutions Index-tracking Global Equity Fund 106.846 +0.846
Investment Solutions Active UK Bond Fund 123.777 +0.169
CIS Ltd. Deposit Pension Fund 113.031 +0.006
Fidelity American Fund 73.825 -3.483
Fidelity European Fund 80.670 -3.595
Fidelity Money Builder Income 91.527 -0.225
Fidelity Income Plus 72.988 -2.429
Fidelity India Focus 60.743 -2.037
Fidelity South East Asia 95.508 -1.358
Gartmore China Opportunities 101.446 -0.866
Gartmore Corporate Bond 77.113 -0.298
Gartmore Opportunities 74.927 -3.963
Gartmore Global Focus Fund 80.371 -3.214
BlackRock US Dynamic Fund (formerly known as Merrill Lynch) 72.101 -3.614
BlackRock UK Dynamic Fund (formerly known as Merrill Lynch) 68.216 -2.601
BlackRock UK Smaller Companies (formerly known as Merrill Lynch) 69.270 +0.184
BlackRock European Dynamic Fund (formerly known as Merrill Lynch) 78.508 -3.425
BlackRock UK Fund (formerly known as Merrill Lynch) 66.034 -2.538
Schroder Gilt & Fixed Interest 103.428 -0.324
Schroder UK Mid 250 55.069 -2.761
Schroder Income Fund 76.138 -3.634
Schroder Recovery Fund 69.897 -3.400
Schroder Global Properties Security 60.993 -3.508
Schroders UK Alpha Plus 63.928 -3.919
CIS Cautious portfolio - open 84.281 -1.551
CIS Cautious portfolio - select 86.896 -1.649
CIS Balanced portfolio - open 78.826 -2.319
CIS Balanced portfolio - select 81.749 -2.166
CIS Adventurous portfolio - open 73.993 -2.736
CIS Adventurous portfolio - select 78.085 -2.773
(S3) CIS UK Income with Growth 78.329 -1.016
(S3) CIS UK Growth Pension Fund 72.260 -1.936
(S3) CIS US Growth Pension Fund 70.272 -2.490
(S3) CIS European Growth Pension 74.543 -2.685
JP Morgan Premier Equity Growth 62.420 -2.391
JP Morgan Japan 71.150 -0.776
JP Morgan Global High Yield Bond Fund 81.292 -0.954
JP Morgan European Smaller Companies 73.293 -2.810
Invesco Income 86.881 -2.406
Invesco European High Yield 76.014 -0.380
Invesco Latin America 94.227 -4.399
Schroder US Small & Mid Cap Fund 93.712 -4.411
Merrill Lynch UK Special Situations Fund 71.236 -2.313

Please note your pension scheme may not offer all these funds as investment options.

Series 2 prices relate only to individual pension plans set up after 5th April 2005, which have a 1.5% annual management charge for the first 10 years of the plan. On the 10th anniversary of the opening of the plan, the annual management charge falls to 1% and the fund value will then be calculated using the non-Series 2 price. For group pension schemes, please ignore the series 2 prices, even if your plan started after 5/4/2005.

”FTSE®”, "FT-SE®” and “Footsie®” are trade marks of the London Stock Exchange Plc and The Financial Times Limited and are used by FTSE International Limited under licence. “All-World”, “All-Share” and “All-Small” and “FTSE4Good” are trade marks of FTSE International Limited.

The FTSE All-Share Index is calculated by FTSE International Limited. FTSE International Limited does not sponsor, endorse or promote this product and is not in any way connected to it and does not accept any liability in relation to its issue, operation and trading.

All copyright in the index values and constituent list vests in FTSE International Limited. Co-operative Insurance Society Limited has obtained full licence from FTSE International Limited to use such copyright in the creation of this product.

All funds use forward pricing. The price you receive will be the price calculated at the next valuation following receipt of your instruction or contribution. All prices are quoted in pence.

Co-operative Insurance Society Limited

Registered Number 3615R England - for life assurance and pensions

Registered office: Miller Street, Manchester M60 0AL Telephone 08457 46 46 46. Minicom 08000 684 244.