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VUL Investment Funds Performance

2.884665

Balanced Fund
(PHP)

1.734096

Dollar Fixed Income Fund
(USD)

1.047358

Dollar Money Market Fund
(USD)

1.072015

Dollar Opportunity Fund
(USD)

3.897710

Equity Fund
(PHP)

2.121299

Fixed Income Fund
(PHP)

1.417739

Growth Fund
(PHP)

0.632377

Guardian Fund
(PHP)

0.839521

One Fund
(PHP)

1.209674

Peso Global Equity Fund
(PHP)

1.429967

Peso Global Technology Fund
(PHP)

1.099017

Peso Money Market Fund
(PHP)

0.973234

Recovery Equity Fund
(PHP)

0.802803

Select Equities Fund
(PHP)

Limited Offers (PHP)

1,023.25

Asian Emerging Companies Fund
(PHP)

1,013.93

Philippine Equity Advantage Fund
(PHP)

998.90

Philippine Equity Advantage Fund Tranche 2
(PHP)


Limited Offers (USD)

1,022.01

Asia Dynamic Equity Fund
(USD)

735.10

Asian Emerging Companies Dollar Fund
(USD)

1,007.62

China Prime Fund Tranche 1
(USD)

1,006.50

China Prime Fund Tranche 2
(USD)

980.50

Euro Blue Chips Dollar Fund
(USD)

VUL Investment Funds (PHP)

Performance as of Feb 23, 2021
Absolute ReturnBalanced FundEquity FundFixed Income FundGrowth FundGuardian FundOne FundPeso Global Equity FundPeso Global Technology FundPeso Money Market FundRecovery Equity FundSelect Equities Fund
Fund Launch20052005200520112016201820172020201620202015
Since Inception188.47%289.77%112.13%41.77%-20.95%-16.05%20.97%43.00%9.90%-2.68%-19.72%
Year-to-Date-2.44%-4.09%-0.51%-4.14%-7.48%-4.30%4.29%10.92%0.09%-1.99%-3.19%
Year-on-Year1.02%-6.06%4.83%-3.79%-5.10%-2.17%2.70%38.24%0.91%0.00%1.40%
Price as of Feb 23, 20212.8846653.8977102.1212991.4177390.6323770.8395211.2096741.4299671.0990170.9732340.802803
Current fund performance is not an indication or guarantee of future fund performance. The stated values may be subject to adjustments when reasonably warranted. Insular Life shall not be liable for any loss or potential loss due to any inaccuracy or adjustments in the values.

VUL Investment Funds (USD)

Performance as of Feb 23, 2021
Absolute ReturnDollar Fixed Income FundDollar Money Market FundDollar Opportunity Fund
Fund Launch200720162020
Since Inception73.41%4.74%7.21%
Year-to-Date-2.04%0.01%4.23%
Year-on-Year0.07%0.20%0.00%
Price as of Feb 23, 20211.7340961.0473581.072015
Current fund performance is not an indication or guarantee of future fund performance. The stated values may be subject to adjustments when reasonably warranted. Insular Life shall not be liable for any loss or potential loss due to any inaccuracy or adjustments in the values.

2019 Wealth Series Annual Report now available!

W Series Annual report 2019

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.
2019 Wealth Series Report
2018 Wealth Series Report
2017 Wealth Series Report
2016 Wealth Series Report
2015 Wealth Series Report
2014 Wealth Series Report
2013 Wealth Series Report
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