Funds
Information briefs
| Fund | Last trade | |
| VNL | 0.46 | 1.6% |
| NAVps* | NAV | |
| (Mar 13) | 1.03 | 498.5 m |
* NAV per share.
Go to VNL page on LSE site.
| Fund | Last trade | |
| VNL | 0.46 | 1.6% |
| NAVps* | NAV | |
| (Mar 13) | 1.03 | 498.5 m |
Go to VNL page on LSE site.