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You are here: Group Factsheet

Pension Funds / Aegon/Scottish Equitable plc

Group Personal Pension Plan

Fund overview
Funds available within this product126
Number of funds holdable at same time10
Fund switching availabletick
Unlimited free switchescross
Number of free switches p.a20
Switching charge (£/%)0 %
No minimum switchcross
Minimum amount per switch (£/%)£ 1000

Aegon/Scottish Equitable plc


User rating:

star rating :



Based on 121 respondent(s)
126 funds available
  
Annual Charges
Performance
 
RankName Basic Additional 1y 3y 5y FE fundinfo Crown rating 
150/50 Cautious Managed Collection Pn0.450.009.5122.4813.772
260/40 Cautious Managed Collection Pn0.450.008.8919.077.052
370/30 Defensive Managed Collection Pn0.450.007.7515.490.542
480/20 Def Mgd Collec Pn0.450.007.0712.52-5.202
5Aegon (ex NT) BlackRock 50/50 Bond & Equity Pn0.451.0011.5217.11-0.881
6Aegon (ex NT) BlackRock 50/50 Global Equity Pn0.451.0018.5042.9960.40n/a
7Aegon (ex NT) BlackRock Consensus Pn0.451.0010.0630.2435.472
8Aegon AM Core Plus Pn0.450.005.082.14-21.291
9Aegon AM Ethical Corporate Bond Pn0.451.006.7314.16-6.192
10Aegon AM High Yield Bond Pn0.451.008.7030.8226.393
11Aegon AM Investment Grade Bond Pn0.451.009.0818.15-1.473
12Aegon AM Sterling Corporate Bond Pn0.451.007.5216.04-3.903
13Aegon AM Strategic Bond Pn0.451.009.4123.919.213
14Aegon Artemis SmartGARP UK Equity Pn0.451.0037.1572.56131.035
15Aegon BlackRock 40/60 Global Equity Tracker Pn0.450.0011.4947.2264.563
16Aegon BlackRock 50/50 Equity and Bond Tracker Lifestyle Pn0.450.0011.5217.11-0.881
17Aegon BlackRock 50/50 Equity and Bond Tracker Pn0.450.0011.5217.11-0.881
18Aegon Blackrock 50/50 Global Equity Tracker Pn0.450.0018.9744.7163.64n/a
19Aegon BlackRock Consensus Lifestyle Pn0.450.0010.0630.2435.472
20Aegon BlackRock Consensus Pn0.450.0010.0630.2435.472
21Aegon BlackRock Developed Markets Sustainable Equity Pn0.450.00-0.5128.6729.161
22Aegon BlackRock European Equity Tracker Pn0.450.0019.7738.6952.90n/a
23Aegon BlackRock Japanese Equity Tracker Pn0.450.0020.2246.9638.54n/a
24Aegon BlackRock Over 15 Years Corporate Bond Tracker Pn0.450.005.641.81-33.234
25Aegon BlackRock Over 15 Years UK Gilt Tracker Pn0.450.003.65-12.46-48.97n/a
26Aegon BlackRock Pacific Rim Equity Tracker Pn0.450.0031.8730.6728.782
27Aegon BlackRock Pacific Rim Equity Tracker Pn0.450.0031.8730.6728.785
28Aegon BlackRock UK Equity Tracker Pn0.450.0016.4731.2752.69n/a
29Aegon BlackRock UK Index-Linked Gilt Tracker Pn0.450.001.32-13.57-41.60n/a
30Aegon BlackRock US Equity Tracker Pn0.450.003.4767.4585.87n/a
31Aegon BlackRock US Equity Tracker Pn0.450.003.4767.4585.87n/a
32Aegon BlackRock World (ex-UK) Equity Tracker Pn0.450.007.9857.8370.74n/a
33Aegon BNY Mellon Global Income Pn0.451.0013.9431.9860.401
34Aegon BNY Mellon Multi-Asset Balanced Pn0.450.008.9633.8346.865
35Aegon BNY Mellon Multi-Asset Growth Pn0.450.0014.6734.8051.283
36Aegon BNY Mellon UK Income Pn0.450.0024.4849.2991.585
37Aegon Ninety One Global Income Opportunities Pn0.451.0010.8316.668.932
38Aegon Schroder Global Cities Property Income Pn0.451.001.699.0510.962
39Aegon Stewart Investors Asia Pacific Leaders Pn0.451.002.3511.269.052
40Aegon UK Corporate Bond Pn0.450.006.2813.59-7.382
41Annuity Target Pn0.450.004.78-9.14-46.441
42Balanced Lifestyle Pn0.450.0012.2030.3628.172
43Balanced Passive Pn0.450.0011.8334.7139.16n/a
44Cash Pn0.450.003.3911.9711.765
45Cautious Lifestyle Pn0.450.009.3523.0822.161
46Cautious Lifestyle Pn0.450.009.3523.0822.163
47Distribution Pn0.450.009.3523.0822.163
48Distribution Pn0.450.009.3523.0822.161
49Dynamic Lifestyle Pn0.450.0011.1149.4146.613
50Ethical Pn0.450.002.4619.9012.063
51European Pn0.450.0021.2540.3553.313
52European Tactical Pn0.450.0022.1740.5354.443
53External Balanced Collection Pn0.450.0010.7831.8530.853
54External Stockmarket Collection Pn0.450.0012.8038.9151.105
55Global Equity Tracker Pn0.450.0014.4147.8167.633
56Global Pn0.450.0011.1149.4146.613
57High Yield Corporate Bond Pn0.450.008.1625.2514.282
58Index-Linked Pn0.450.001.55-10.58-35.433
59International Pn0.450.009.4555.3047.373
60Japan Pn0.451.0021.7949.5631.292
61Kames Enhanced Corporate Bond Pn0.450.006.2813.59-7.382
62Kames Enhanced Long Corp Bd Pn0.450.005.975.06-27.251
63North American Pn0.450.003.7962.0180.54n/a
64Overseas Bond Pn0.450.00-2.97-7.29-16.521
65Overseas Equity Tracker Pn0.450.008.3956.7969.933
66Overseas Tactical Pn0.450.009.4555.3047.373
67Pacific Pn0.450.0028.5135.9720.703
68Property Pn0.450.005.643.743.79n/a
69Property Pn0.450.005.643.743.79n/a
70Scot Eq Global Equity Tracker Lifestyle Pn0.450.0014.4147.8167.633
71Scot Eq Janus Henderson Cautious Managed Pn0.451.0012.2021.0623.192
72Scot Eq Janus Henderson US Growth Pn0.451.003.6977.7069.445
73Scot Eq Mixed Pn0.450.0012.2030.3628.172
74Scot Eq UK Fixed Interest and Global Equity Tracker Lifestyle Pn0.450.009.9925.6219.32n/a
75Scottish Equitable (ex-Insight DTR) BlackRock Diversified Dynamic Growth Pn0.451.0012.9928.9922.365
76Scottish Equitable Artemis Income Pn0.451.0017.3144.4367.395
77Scottish Equitable Artemis UK Special Situations Pn0.451.0020.7545.0852.614
78Scottish Equitable Baillie Gifford 60/40 Worldwide Equity Pn0.450.009.5225.689.264
79Scottish Equitable Baillie Gifford High Yield Bond Pn0.451.006.2624.6612.101
80Scottish Equitable Baillie Gifford International Pn0.450.004.2433.6912.322
81Scottish Equitable Baillie Gifford UK Equity Pn0.450.0013.1325.7426.374
82Scottish Equitable BlackRock Balanced Managed Pn0.450.0013.4037.3538.09n/a
83Scottish Equitable BlackRock Balanced Managed Pn0.450.0013.4037.3538.093
84Scottish Equitable BlackRock Gold and General Pn0.451.00154.33206.06185.755
85Scottish Equitable BlackRock UK Pn0.451.007.6424.2911.182
86Scottish Equitable BlackRock UK Smaller Companies Pn0.451.003.161.32-10.272
87Scottish Equitable BlackRock UK Special Situations Pn0.451.007.5612.8212.531
88Scottish Equitable BlackRock US Dynamic Pn0.451.0013.2461.8389.262
89Scottish Equitable Fidelity Asia Pn0.451.0028.8329.551.193
90Scottish Equitable Fidelity European Pn0.451.007.7321.4744.632
91Scottish Equitable Invesco Asian Pn0.451.0026.6439.8838.544
92Scottish Equitable Invesco Balanced Managed Pn0.450.0018.1644.6568.185
93Scottish Equitable Invesco Corporate Bond Pn0.451.006.2114.13-0.981
94Scottish Equitable Invesco Income Pn0.451.0022.8539.1157.933
95Scottish Equitable Invesco Stockmarket Managed Pn0.450.0018.3960.9398.095
96Scottish Equitable JPMorgan Europe Dynamic ex-UK Pn0.451.0027.5847.9170.165
97Scottish Equitable JPMorgan Natural Resources Pn0.451.0036.7530.78102.883
98Scottish Equitable Lazard Balanced Managed Pn0.450.009.4424.5126.603
99Scottish Equitable Lazard European Smaller Companies Pn0.450.0018.6721.1713.023
100Scottish Equitable Lazard Managed Equity Pn0.450.008.0229.5447.811
101Scottish Equitable Man Balanced Managed Pn0.450.0013.4235.3549.635
102Scottish Equitable Man Stockmarket Managed Pn0.450.0015.1341.0159.164
103Scottish Equitable Schroder Income Pn0.451.0022.7745.9991.804
104Scottish Equitable Schroder Tokyo Pn0.451.0018.7946.0345.593
105Scottish Equitable Schroder UK Alpha Plus Pn0.451.006.176.538.031
106Scottish Equitable Schroder UK Mid-250 Pn0.451.0019.1733.8041.415
107Scottish Equitable Schroder UK Smaller Companies Pn0.451.001.659.96-9.802
108Scottish Equitable UBS Balanced Managed Pn0.450.0013.0928.6326.532
109Scottish Equitable UBS Global Emerging Markets Equity Pn0.450.0024.5431.953.183
110Scottish Equitable UBS US Equity Pn0.450.003.9139.6860.921
111Select Reserve Pn0.450.005.034.68-12.581
112Socially Responsible Equity Pn0.451.003.3016.10-2.241
113Technology Pn0.450.0011.39138.52127.685
114UBS Stockmarket Managed Pn0.450.0018.3860.9395.231
115UBS Stockmarket Managed Pn0.450.0018.3860.9395.235
116UK Equity Pn0.450.0018.9032.5547.652
117UK Equity Tactical Pn0.450.0014.3126.1029.591
118UK Fixed Interest and Global Equity Tracker Pn0.450.009.9925.6219.32n/a
119UK Fixed Interest Pn0.450.005.566.20-16.523
120UK Government Bond Pn0.450.004.76-1.01-25.252
121UK Index Tracker Pn0.450.0020.4938.4561.65n/a
122UK Long Corporate Bond Pn0.450.005.975.06-27.255
123UK Smaller Companies Pn0.450.000.336.16-13.442
124Universal Balanced Collection Pn0.450.0012.9440.4339.903
125With Profit Growth Pn0.450.0013.0629.2543.01n/a (sector not rated)
126With-Profits Cautious Pn0.450.007.6317.9916.77n/a (sector not rated)
Data provided by FE fundinfo. Care has been taken to ensure that the information is correct, but FE fundinfo neither warrants, represents nor guarantees the contents of information, nor does it accept any responsibility for errors, inaccuracies, omissions or any inconsistencies herein. Past performance does not predict future performance, it should not be the main or sole reason for making an investment decision. The value of investments and any income from them can fall as well as rise.

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