NAVPU

VUL Investment Funds Performance

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Performance as of Jan 21, 2025
Fund NameNAVPU as of Jan 21, 2025Fact Sheet
Balanced Fund
PHP
2.922663 Download Latest Fund Fact Sheet
Dollar Fixed Income Fund
USD
1.588212 Download Latest Fund Fact Sheet
Dollar Global Multi-Asset Income-Paying Fund
USD
0.826197 Download Latest Fund Fact Sheet
Dollar Money Market Fund
USD
1.139314 Download Latest Fund Fact Sheet
Dollar Opportunity Fund
USD
1.252936 Download Latest Fund Fact Sheet
Dollar Systematic Global Sustainable Income Fund
USD
1.022320 Download Latest Fund Fact Sheet
Equity Fund
PHP
3.831452 Download Latest Fund Fact Sheet
Growth Fund
PHP
1.325382 Download Latest Fund Fact Sheet
Guardian Fund
PHP
0.473797 Download Latest Fund Fact Sheet
O.N.E Fund
PHP
0.716821 Download Latest Fund Fact Sheet
Peso Fixed Income Fund
PHP
2.224696 Download Latest Fund Fact Sheet
Peso Global Equity Fund
PHP
1.691284 Download Latest Fund Fact Sheet
Peso Global Multi-Asset Income-Paying Fund
PHP
0.952507 Download Latest Fund Fact Sheet
Peso Global Technology Fund
PHP
2.358691 Download Latest Fund Fact Sheet
Peso Money Market Fund
PHP
1.217128 Download Latest Fund Fact Sheet
Peso Systematic Global Sustainable Income Fund
PHP
1.076777 Download Latest Fund Fact Sheet
Select Equities Fund
PHP
0.803721 Download Latest Fund Fact Sheet
Fund NameNAVPU as of Jan 21, 2025Fact Sheet
Recovery Equity Fund
PHP
0.879003 Download Latest Fund Fact Sheet

VUL INVESTMENT FUNDS(PHP)

Performance as of Jan 21, 2025
Balanced FundEquity FundGrowth FundGuardian FundO.N.E FundPeso Fixed Income FundPeso Global Equity FundPeso Global Multi-Asset Income-Paying FundPeso Global Technology FundPeso Money Market FundPeso Systematic Global Sustainable Income FundSelect Equities Fund
Fund Launch200520052011201620182005201720212020201620232015
Since Inception192.27%283.15%32.54%-40.78%-28.32%122.47%69.13%-4.75%135.87%21.71%9.00%-19.63%
Year-to-Date-1.80%-3.38%-2.01%-4.46%-7.39%-0.04%1.30%0.97%0.84%0.29%1.08%-2.98%
Year-on-Year-0.89%-4.65%-4.37%-10.62%-15.52%3.50%16.26%6.51%25.18%4.20%5.47%-0.92%
Price as of Jan 21, 20252.9226633.8314521.3253820.4737970.7168212.2246961.6912840.9525072.3586911.2171281.0767770.803721

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 Jan 21, 2025
Dollar Fixed Income FundDollar Global Multi-Asset Income-Paying FundDollar Money Market FundDollar Opportunity FundDollar Systematic Global Sustainable Income Fund
Fund Launch20072021201620202023
Since Inception58.82%-17.38%13.93%25.31%3.18%
Year-to-Date0.22%0.12%0.25%-0.49%-0.04%
Year-on-Year1.75%0.68%4.01%23.32%2.24%
Price as of Jan 21, 20251.5882120.8261971.1393141.2529361.022320

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.