Data as at: 24/04/2024

Fund manager benchmark
No benchmark

Performance (%)

Return type 1 year 3 years 5 years 10 years
TwentyFour Select Monthly Income Share price total return 26.2 10.1 32.1 64.2
Debt - Loans & Bonds AIC sector Share price total return 12.7 12.1 10.7 6.7
TwentyFour Select Monthly Income NAV total return 20.6 11.7 31.2 69.8
Debt - Loans & Bonds AIC sector NAV total return 13.7 14.6 22.4 34.7
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Discrete annual performance (%)

Return type 24/04/19 - 20 24/04/20 - 21 24/04/21 - 22 24/04/22 - 23 24/04/23 - 24
TwentyFour Select Monthly Income Share price total return -4.4 25.5 -1.7 -11.2 26.2
TwentyFour Select Monthly Income NAV total return -9.5 38.7 -7.0 -6.8 20.6
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Interactive graph

This chart defaults to 5y total return data, the time periods are fully customisable. Use the display button to choose to chart actual prices and NAVs. Click the tick-boxes to quickly add sector average or market index comparisons.

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