Can you afford to retire?

With our online pension health check, there will be no surprises in retirement. Designed for those with and without pensions, our illustrations let you see how much you might receive in retirement, along with pension boosting scenarios that enable you to plan your retirement with greater confidence.

Free Pension Health Check

Phoenix ex-Royal and SunAlliance Life Pensions

Access detailed pension information on over 12,000 UK pension schemes. Instant free access to the latest data. Do you already have a pension? Use our FundFinder search tool to locate your pension.


Phoenix ex-Royal and SunAlliance Life Pension Funds

ISIN Code Pension Fund Performance of fund over last 12 months***
GB0001659092 8.41%
GB0007555591 7.96%
GB0007555823 6.70%
GB0007555716 3.36%
GB0007555484 7.25%
GB0007555930 -0.26%
GB0007555609 19.47%
GB0030369838 9.35%
GB0007445249 8.78%
GB0008625567 4.48%
GB0006868193 4.76%
GB0008625898 3.12%
GB0006868425 3.39%
GB0008625906 -2.47%
GB0006868532 -2.22%
GB0008625781 18.28%
GB0006868318 18.56%
GB0008625344 7.49%
GB0006867906 7.79%
GB0008625674 -6.28%
GB0006868201 -6.02%
GB0008626086 7.29%
GB0006868649 7.55%
GB0008625450 4.01%
GB0006868086 4.23%
GB0005216204 0.05%
GB0007567901 0.95%
GB0005215453 8.24%
GB0007567679 9.19%
GB0005215560 6.98%
GB0007567786 7.93%
GB0005224638 6.39%
GB0007568537 7.34%
GB0005215677 7.52%
GB0007567893 8.48%
GB0007593246 -0.05%
GB0007593352 0.85%
GB0005217160 0.00%
GB0005215784 19.78%
GB0007567562 20.84%
GB0005228381 -4.16%
GB0007568644 -3.31%
GB0005223440 4.51%
GB0007568198 5.44%
GB0005224745 7.94%
GB0007568750 8.88%
GB0005223556 7.53%
GB0007568081 8.50%
GB0005223333 2.56%
GB0007568206 3.47%
GB0005224414 7.93%
GB0007568313 8.91%
GB0005224521 5.67%
GB0007568420 6.60%
GB0030361983 8.91%
GB0008625237 -0.29%
GB0006866593 -0.04%
GB0030368970 1.02%
GB0008594847 -0.29%
GB0006866379 -0.04%
GB0008567082 0.41%
GB0030369051 9.16%
GB0008594409 7.87%
GB0006865967 8.15%
GB0008566894 8.66%
GB0030369168 7.90%
GB0008626862 6.56%
GB0008566902 7.35%
GB0030369275 -3.98%
GB0007444168 -4.44%
GB0030369507 12.00%
GB0008595364 10.54%
GB0008560871 11.36%
GB0030369721 7.92%
GB0008594516 6.62%
GB0006866486 6.89%
GB0008566787 7.39%
GB0030370166 8.59%
GB0008594391 7.26%
GB0008566670 8.02%
GB0030370059 4.56%
GB0008594730 3.28%
GB0006866155 3.53%
GB0008566563 4.03%
GB0008594953 7.15%
GB0008566456 7.92%
GB0030370273 8.50%
GB0030370612 20.85%
GB0008594623 19.37%
GB0006866262 19.71%
GB0008566340 20.24%
GB0030370497 8.47%
GB0006866601 7.44%
GB0030370729 10.55%
GB0007925232 9.90%
GB0030370836 2.03%
GB0008566126 1.03%
GB0008625120 10.40%
GB0001659217 7.91%
GB0007048308 -3.60%
GB0007048076 0.78%
GB0007048183 4.45%
GB0007048290 -0.03%
GB0007048746 -0.03%
GB0007047441 4.30%
GB0007047557 8.15%
GB0007049371 3.09%
GB0007049157 6.89%
GB0007068470 -0.15%
GB0007068363 3.55%
GB0007048522 3.60%
GB0007048639 7.43%
GB0007046476 19.75%
GB0007048852 15.41%
GB0007048969 19.69%
GB0007046369 19.68%
8.73%
5.17%
5.71%
GB0030369382 3.26%
8.27%
9.47%
GB0007046583 19.21%
GB0031527376 7.87%
GB0031527483 23.83%
GB0031527590 14.84%
GB0031527269 4.63%
GB0031527608 9.05%
GB0031527715 7.82%
GB0031527939 -2.58%
GB0031528010 4.23%
GB0031527822 9.62%
GB0031528127 9.09%
GB0031528234 -3.31%
GB0031528341 10.72%
8.82%
GB0008626201 17.64%
GB0006866825 17.98%
GB0008626532 17.71%
GB0006867344 17.99%
GB0008626318 15.94%
GB0006866932 16.24%
GB0008626193 2.14%
GB0006866718 2.45%
GB0008626425 -3.44%
GB0006867120 -3.18%
GB0008626649 2.25%
GB0006867567 2.45%
GB0008626755 8.11%
GB0006867781 8.37%
Source: Morningstar UK Ltd

*The data here is based only on the pensions that Pension Tracker has access to. There may be other pensions that are not displayed. Although great care is taken in producing this information, Pension Tracker and Net Innovate Ltd do not accept liability or responsibility for errors or omissions.
Always seek the advice of a financial advisor before reviewing or making changes to your pension plans.

**Fund prices are updated every weekday after the close of trading and before 11 p.m. wherever possible. Performance figures are presented in British Sterling (GBP). Fund returns are based upon Nav to Nav or Bid to Bid income reinvested basis. UK-domiciled funds report after-tax dividends. Non-UK-domiciled funds report gross dividends.

Copyright © 2009 Morningstar, Inc. All Rights Reserved. The information contained herein: (1) is proprietary to Morningstar; (2) may not be copied or distributed; and (3) is not warranted by either Morningstar or Net-Innovate to be accurate, complete or timely. Neither Morningstar nor its content providers nor Net-Innovate are responsible for any damages or losses arising from any use of this information. Past performance is no guarantee of future results.