VUL Investment Funds Performance

Performance as of February 19, 2018 VUL INVESTMENT FUNDS (PHP)
Absolute Return Equity Fund Growth Fund Select Equities Fund Guardian Fund Global Equity Fund Balanced Fund Fixed Income Fund Money Market Fund
Fund Launch 2005 2011 2015 2016 2017 2005 2005 2016
Since Inception 408.18% 81.44% -1.25% -1.22% 3.01% 199.71% 83.23% 2.26%
Year to date 0.35% -0.95% -1.09% 1.44% N/A -0.64% -1.69% 0.27%
Year on year 9.29% 7.19% 15.53% 4.32% N/A 2.76% -3.51% 1.23%
Price as of February 19, 2018 5.081783 1.814398 0.987526 0.790212 1.030101 2.997122 1.832313 1.022640

Current performance is not an indication of future or likely performance of the funds.


Performance as of February 19, 2018 VUL INVESTMENT FUNDS (USD)
Dollar Fixed Income Fund Dollar Money Market Fund
Fund Launch 2007 2016
Since Inception 49.49% 2.12%
Year to date -3.4% 0.11%
Year on year -1.51% 0.98%
Price as of February 19, 2018 1.494855 1.021163

Current performance is not an indication of future or likely performance of the funds.


2016 Wealth Series Annual Report now available!

wealth-series-report-2016

Wealth Series Reports

The investment funds of Insular Life’s VUL products continue to perform as it delivers the best yields possible to its investors while managing risks.

Filename Size
An Adobe Acrobat file 2016 Wealth Series Report 11.14 MB
An Adobe Acrobat file 2015 Wealth Series Report 3.77 MB
An Adobe Acrobat file 2014 Wealth Series Report 15.96 MB
An Adobe Acrobat file 2013 Wealth Series Report 5.35 MB
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