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Change view: Charges and savings  |  Replication  |  Stock lending  |  Prices and yields  |  Annual percentage growth

Asia Pacific Ex Japan

Current priceYieldValuation date
Sell (p)Buy (p)Change (p)
Unbundled funds:
229.22 +0.17 3.33% 28-08-2025
138.86 +0.10 3.33% 28-08-2025
364.80 -0.20 2.81% 28-08-2025
649.27 -0.35 2.81% 28-08-2025
66.35 +0.22 0.00% 28-08-2025
146.20 -0.80 2.50% 28-08-2025
278.50 -1.60 2.50% 28-08-2025
22,294.72 -40.38 3.55% 27-08-2025
41,178.99 -74.58 3.55% 27-08-2025
145.77 -1.24 2.68% 28-08-2025
122.17 -1.34 2.48% 28-08-2025
1,867.50 -17.85 0.60% 28-08-2025
124.65 +0.52 0.00% 28-08-2025
110.46 +0.46 0.00% 28-08-2025
121.62 -0.70 3.46% 28-08-2025
109.50 -0.63 3.46% 28-08-2025
Inclusive funds:
7,401.19 -70.90 0.00% 28-08-2025

China/ Greater China

Current priceYieldValuation date
Sell (p)Buy (p)Change (p)
Unbundled funds:
12,690.00 -185.00 0.00% 27-08-2025

Europe Excluding UK

Current priceYieldValuation date
Sell (p)Buy (p)Change (p)
Unbundled funds:
251.25 -0.37 2.39% 28-08-2025
197.14 -0.28 2.39% 28-08-2025
918.44 +0.65 2.51% 28-08-2025
1,560.17 +1.10 2.51% 28-08-2025
413.50 -0.50 2.40% 28-08-2025
746.60 -1.00 2.40% 28-08-2025
64.56 -0.05 0.00% 28-08-2025
44,265.04 +111.74 2.42% 28-08-2025
29,841.27 +75.33 2.42% 28-08-2025
171.81 -0.39 2.69% 28-08-2025
173.25 -0.24 2.56% 28-08-2025
128.01 -0.18 2.62% 28-08-2025
114.67 -0.16 2.62% 28-08-2025
1,355.60 1,357.90 -4.10 0.75% 27-08-2025

Europe Including UK

Current priceYieldValuation date
Sell (p)Buy (p)Change (p)
Unbundled funds:
239.09 -0.13 1.93% 27-08-2025
140.31 -0.81 3.40% 27-08-2025
986.52 -0.16 0.00% 28-08-2025
32,060.09 -101.71 2.53% 27-08-2025
21,370.23 -67.78 2.53% 27-08-2025

Flexible Investment

Current priceYieldValuation date
Sell (p)Buy (p)Change (p)
Unbundled funds:
183.87 +0.02 0.00% 28-08-2025

GBP Corporate Bond

Current priceYieldValuation date
Sell (p)Buy (p)Change (p)
Unbundled funds:
92.93 0.00 4.78% 28-08-2025
79.41 0.00 4.78% 28-08-2025
82.71 +0.01 3.90% 28-08-2025
110.68 0.00 3.90% 28-08-2025
49.28 +0.01 4.50% 28-08-2025
65.28 +0.02 4.50% 28-08-2025
48.55 0.00 3.70% 28-08-2025
65.61 0.00 3.70% 28-08-2025
55.22 0.00 3.98% 28-08-2025
43.99 0.00 3.98% 28-08-2025
10,006.09 +11.11 4.27% 27-08-2025
5,015.22 +5.56 4.27% 27-08-2025
9,901.24 +5.77 4.17% 27-08-2025
12,481.26 +7.28 4.17% 27-08-2025
111.07 0.00 4.57% 28-08-2025
99.28 -0.01 4.78% 28-08-2025
92.30 +0.01 3.93% 28-08-2025
101.13 +0.01 3.93% 28-08-2025
92.67 -0.06 0.00% 28-08-2025
80.91 -0.05 0.00% 28-08-2025

Global

Current priceYieldValuation date
Sell (p)Buy (p)Change (p)
Unbundled funds:
397.21 -1.37 1.40% 28-08-2025
358.90 -1.00 1.31% 28-08-2025
387.93 -1.46 1.30% 28-08-2025
307.11 -1.15 1.30% 28-08-2025
163.60 -0.54 1.66% 28-08-2025
341.56 -0.95 1.64% 28-08-2025
279.41 -0.78 1.64% 28-08-2025
2,427.70 +7.90 0.00% 27-08-2025
1,823.70 +5.90 0.00% 27-08-2025
2,148.10 +7.00 0.00% 27-08-2025
595.76 -2.46 0.82% 28-08-2025
581.67 -2.61 1.26% 28-08-2025
496.16 -2.22 1.26% 28-08-2025
203.60 -0.70 1.12% 28-08-2025
15,244.00 16,087.00 -24.00 0.00% 28-08-2025
81.11 -0.19 1.60% 28-08-2025
94.09 -0.22 1.60% 28-08-2025
91.67 -0.16 1.30% 28-08-2025
98.35 -0.17 1.30% 28-08-2025
73.68 -0.84 1.40% 28-08-2025
68.16 -0.78 1.40% 28-08-2025
287.60 -0.50 1.20% 28-08-2025
461.20 -0.80 1.20% 28-08-2025
173.40 -0.20 1.40% 28-08-2025
88.28 -0.37 2.50% 28-08-2025
74.04 -0.32 2.50% 28-08-2025
78.95 +0.14 0.40% 28-08-2025
221.10 -0.30 1.40% 28-08-2025
304.40 -0.30 1.40% 28-08-2025
15,490.08 +37.17 0.00% 27-08-2025
86.15 -0.07 0.00% 28-08-2025
101.83 +0.21 2.24% 27-08-2025
16.06 +0.05 1.54% 27-08-2025
39,470.76 +98.02 1.18% 27-08-2025
49,037.67 +121.79 1.18% 27-08-2025
16,903.34 +42.02 1.27% 27-08-2025
18,104.55 +45.00 1.27% 27-08-2025
75,349.14 +186.21 1.39% 27-08-2025
57,739.60 +142.69 1.39% 27-08-2025
21,117.80 +41.52 1.48% 27-08-2025
24,203.07 +47.59 1.48% 27-08-2025
37,909.79 +177.35 1.67% 27-08-2025
47,593.28 +222.65 1.67% 27-08-2025
115.43 -0.46 1.62% 28-08-2025
860.50 863.10 +0.60 0.00% 27-08-2025

Global Bonds

Current priceYieldValuation date
Sell (p)Buy (p)Change (p)
Unbundled funds:
866.55 +1.00 0.00% 27-08-2025
49.65 +0.15 3.70% 28-08-2025
64.14 +0.18 3.70% 28-08-2025
102.50 +0.10 0.00% 28-08-2025
109.50 +0.10 0.00% 28-08-2025
2,669.53 +5.29 0.83% 28-08-2025
12,338.52 +9.62 0.82% 27-08-2025
11,634.96 +8.52 2.03% 27-08-2025
9,057.14 +19.71 1.95% 27-08-2025
8,763.98 +6.96 1.99% 27-08-2025
10,772.46 +8.56 1.99% 27-08-2025
1,062.38 +0.56 0.00% 27-08-2025
110.94 +0.12 3.87% 28-08-2025
120.42 +0.21 4.18% 28-08-2025
98.75 +0.17 4.18% 28-08-2025
150.30 -0.70 3.79% 28-08-2025
111.47 -0.52 3.79% 28-08-2025
107.49 +0.11 2.65% 28-08-2025
103.72 +0.11 2.65% 28-08-2025
118.47 -0.30 2.65% 28-08-2025

Global Emerging Markets

Current priceYieldValuation date
Sell (p)Buy (p)Change (p)
Unbundled funds:
205.62 -2.47 2.17% 28-08-2025
145.17 -1.74 2.17% 28-08-2025
56.74 -0.71 1.80% 28-08-2025
60.58 -0.75 1.80% 28-08-2025
67.25 -0.95 2.20% 28-08-2025
96.03 -1.36 2.20% 28-08-2025
29,844.00 -79.00 0.00% 27-08-2025
13,529.12 -28.14 2.26% 27-08-2025
12,042.15 -25.04 2.26% 27-08-2025
29,983.75 -80.13 2.39% 27-08-2025
21,398.24 -57.18 2.39% 27-08-2025
135.53 -1.62 2.59% 28-08-2025
119.98 -1.54 2.54% 28-08-2025
101.57 -1.30 2.54% 28-08-2025
122.08 -1.70 2.45% 28-08-2025
113.67 -1.58 2.40% 28-08-2025
108.05 -1.20 0.00% 28-08-2025

Global Emerging Markets Bond

Current priceYieldValuation date
Sell (p)Buy (p)Change (p)
Unbundled funds:
40.21 -0.33 6.20% 28-08-2025
72.10 -0.59 6.20% 28-08-2025
41.82 -0.12 6.50% 28-08-2025
70.67 -0.20 6.50% 28-08-2025
112.04 -0.35 0.00% 28-08-2025

Japan

Current priceYieldValuation date
Sell (p)Buy (p)Change (p)
Unbundled funds:
254.23 +1.14 1.85% 28-08-2025
208.68 +0.94 1.85% 28-08-2025
138.68 +1.23 1.81% 28-08-2025
191.86 +1.71 1.81% 28-08-2025
276.69 +2.57 2.00% 28-08-2025
63.31 +0.48 0.00% 28-08-2025
72.54 +0.59 1.90% 28-08-2025
100.40 +0.87 1.90% 28-08-2025
390.20 +1.80 2.38% 28-08-2025
34,697.10 -78.32 1.72% 27-08-2025
26,753.87 -60.40 1.72% 27-08-2025
156.88 +1.26 2.08% 28-08-2025
159.36 +1.26 2.06% 28-08-2025
120.96 +0.91 1.84% 28-08-2025
128.65 +0.97 1.84% 28-08-2025

Mixed Investment 20-60% Shares

Current priceYieldValuation date
Sell (p)Buy (p)Change (p)
Unbundled funds:
116.12 -0.35 3.12% 28-08-2025
102.08 -0.31 3.12% 28-08-2025

N/A

Current priceYieldValuation date
Sell (p)Buy (p)Change (p)
Unbundled funds:
100.72 +0.06 0.00% 27-08-2025
115.02 +0.06 0.00% 27-08-2025

North America

Current priceYieldValuation date
Sell (p)Buy (p)Change (p)
Unbundled funds:
238.63 +0.55 0.88% 28-08-2025
141.06 +0.31 0.88% 28-08-2025
514.44 -2.56 0.97% 28-08-2025
417.69 -2.08 0.97% 28-08-2025
1,060.34 -5.07 1.06% 28-08-2025
1,376.84 -6.58 1.06% 28-08-2025
104.36 -0.41 0.00% 28-08-2025
4,090.57 -19.78 0.50% 28-08-2025
74.37 -0.24 0.00% 28-08-2025
50.36 -0.21 0.00% 28-08-2025
50.74 -0.22 0.00% 28-08-2025
969.50 -2.60 1.00% 28-08-2025
1,321.00 -3.00 1.00% 28-08-2025
46,783.00 +175.00 0.00% 27-08-2025
856.30 -2.00 1.19% 28-08-2025
UBS S&P 500 Index
Accumulation
218.30 +0.75 1.00% 27-08-2025
188.40 +0.66 1.00% 27-08-2025
78.53 +0.19 1.32% 27-08-2025
107,658.40 +444.98 1.04% 27-08-2025
87,416.05 +361.31 1.04% 27-08-2025
227.04 -1.07 1.17% 28-08-2025
230.41 -1.15 1.10% 28-08-2025
142.84 -0.70 1.53% 28-08-2025
110.19 -0.54 1.53% 28-08-2025
119.05 -0.59 0.00% 28-08-2025
118.34 -0.58 0.00% 28-08-2025

Offshore

Current priceYieldValuation date
Sell (p)Buy (p)Change (p)
Unbundled funds:
2,252.40 +7.40 0.00% 27-08-2025
Inclusive funds:
38.10 +0.10 0.00% 28-08-2025

Property

Current priceYieldValuation date
Sell (p)Buy (p)Change (p)
Unbundled funds:
58.92 -0.19 3.10% 28-08-2025
78.28 -0.24 3.10% 28-08-2025
106.82 +0.21 2.79% 28-08-2025
100.58 +0.03 0.00% 28-08-2025
101.66 +0.04 0.00% 28-08-2025

Technology & Tech Innovations

Current priceYieldValuation date
Sell (p)Buy (p)Change (p)
Unbundled funds:
196.00 +0.10 0.30% 28-08-2025
189.00 +0.10 0.30% 28-08-2025
353.50 -1.50 1.14% 28-08-2025

UK All Companies

Current priceYieldValuation date
Sell (p)Buy (p)Change (p)
Unbundled funds:
161.61 -0.55 3.20% 28-08-2025
509.60 -2.90 3.20% 28-08-2025
1,048.00 -6.00 3.20% 28-08-2025
209.50 -1.15 2.98% 28-08-2025
144.39 -0.79 2.98% 28-08-2025
153.73 -0.85 3.19% 28-08-2025
371.86 -2.05 3.19% 28-08-2025
195.81 -1.08 3.01% 28-08-2025
355.55 -1.95 3.01% 28-08-2025
432.92 -2.38 3.19% 28-08-2025
934.63 -5.14 3.19% 28-08-2025
407.94 -2.55 3.16% 28-08-2025
288.34 -1.81 3.16% 28-08-2025
465.91 -2.41 3.00% 28-08-2025
69.76 -0.36 3.20% 28-08-2025
103.40 -0.60 3.20% 28-08-2025
66.11 -0.34 3.00% 28-08-2025
77.11 -0.40 3.00% 28-08-2025
93.87 -0.36 1.10% 28-08-2025
176.20 -0.70 1.10% 28-08-2025
181.20 -0.90 3.20% 28-08-2025
371.50 -1.90 3.20% 28-08-2025
75.98 -0.40 3.10% 28-08-2025
200.60 -1.00 3.20% 28-08-2025
486.70 -2.60 3.20% 28-08-2025
57.17 -0.29 3.10% 28-08-2025
72.27 -0.36 3.10% 28-08-2025
90.14 -0.50 3.45% 28-08-2025
151.82 -0.85 3.25% 28-08-2025
117.32 -0.65 3.44% 28-08-2025
277.90 -3.00 3.44% 28-08-2025
107.56 -0.52 4.06% 28-08-2025
230.53 -1.11 4.06% 28-08-2025
13,607.35 -50.78 3.24% 28-08-2025
18,914.91 -70.59 3.24% 28-08-2025
31,862.45 -110.60 3.18% 28-08-2025
13,983.79 -48.54 3.18% 28-08-2025
176.93 -0.98 3.43% 28-08-2025
153.27 -0.84 3.35% 28-08-2025
154.60 -0.95 3.50% 28-08-2025
269.61 -1.63 0.00% 28-08-2025
218.04 -1.21 0.00% 28-08-2025
277.17 +0.14 0.00% 28-08-2025
205.99 +0.10 0.00% 28-08-2025
131.90 -0.06 0.00% 28-08-2025
118.05 -0.05 0.00% 28-08-2025
136.72 -1.55 3.86% 28-08-2025
114.19 -1.29 3.86% 28-08-2025

UK Equity Income

Current priceYieldValuation date
Sell (p)Buy (p)Change (p)
Unbundled funds:
42,955.25 -238.45 4.52% 28-08-2025
19,789.68 -109.85 4.52% 28-08-2025

UK Gilt

Current priceYieldValuation date
Sell (p)Buy (p)Change (p)
Unbundled funds:
74.70 -0.03 4.18% 28-08-2025
66.70 -0.02 4.18% 28-08-2025
79.47 -0.02 3.00% 28-08-2025
120.15 -0.04 3.00% 28-08-2025
91.68 -0.02 4.20% 28-08-2025
189.30 0.00 4.20% 28-08-2025
13,200.55 +24.56 3.76% 27-08-2025
9,400.56 +17.49 3.76% 27-08-2025
8,550.45 +21.88 4.86% 28-08-2025
11,920.32 +30.51 4.86% 28-08-2025
64.08 -0.11 5.05% 28-08-2025

UK Index Linked Gilt

Current priceYieldValuation date
Sell (p)Buy (p)Change (p)
Unbundled funds:
85.61 -0.28 0.20% 28-08-2025
98.90 -0.32 0.20% 28-08-2025
1,096.48 -2.65 1.05% 28-08-2025
1,077.60 -2.60 1.05% 28-08-2025
111.80 -0.30 0.00% 28-08-2025
188.10 -0.60 0.00% 28-08-2025
13,341.83 +61.29 1.10% 28-08-2025
13,283.07 +61.02 1.10% 28-08-2025
90.48 -0.34 0.60% 28-08-2025

Unclassified

Current priceYieldValuation date
Sell (p)Buy (p)Change (p)
Unbundled funds:
1,059.45 +1.69 0.00% 27-08-2025
1,144.62 +2.74 0.00% 27-08-2025
106.11 -0.17 0.00% 28-08-2025
12,178.14 +8.71 3.18% 27-08-2025
15,697.63 +11.23 3.18% 27-08-2025
8,538.58 +5.48 4.39% 27-08-2025
11,238.38 +7.21 4.39% 27-08-2025
10,126.53 +7.40 1.40% 27-08-2025
92.63 +0.08 1.92% 28-08-2025
85.59 +0.08 1.92% 28-08-2025
102.76 +0.08 4.84% 28-08-2025
84.03 +0.07 4.84% 28-08-2025
104.17 -0.86 3.55% 28-08-2025
983.98 +0.56 5.52% 28-08-2025
115.33 +0.08 4.23% 28-08-2025
130.31 -0.10 0.00% 28-08-2025
2,423.30 2,425.30 +5.50 4.00% 27-08-2025
121.54 -0.03 3.96% 28-08-2025
103.83 -0.03 3.94% 28-08-2025
106.11 -0.49 3.94% 28-08-2025
100.04 -0.46 3.94% 28-08-2025
798.70 802.80 -0.30 0.00% 27-08-2025
125.14 +0.94 0.00% 28-08-2025
111.60 +0.84 0.00% 28-08-2025
74.69 -0.03 3.54% 28-08-2025
102.78 -0.48 0.00% 28-08-2025
111.48 +0.01 0.00% 28-08-2025
103.69 +0.01 0.00% 28-08-2025
107.81 -0.13 2.66% 28-08-2025
102.03 -0.12 2.66% 28-08-2025
107.95 -0.13 0.00% 28-08-2025
102.06 -0.12 0.00% 28-08-2025

Volatility Managed

Current priceYieldValuation date
Sell (p)Buy (p)Change (p)
Unbundled funds:
115.46 +0.42 0.80% 27-08-2025
111.22 +0.32 1.61% 27-08-2025
108.84 +0.31 2.20% 27-08-2025
117.26 +0.33 1.98% 27-08-2025
113.27 +0.36 1.49% 27-08-2025
128.12 +0.42 1.29% 27-08-2025
179.87 -0.36 1.60% 28-08-2025
69.87 -0.18 1.40% 28-08-2025
66.66 -0.17 1.40% 28-08-2025
65.55 -0.11 1.80% 28-08-2025
61.96 -0.10 1.80% 28-08-2025
The fund information shown on this page has been provided by the fund management group, Hargreaves Lansdown takes no responsibility for its accuracy.
This is a charge made by a fund manager to an investor when they first buy a fund.
We have negotiated terms with fund management companies which allow us to offer savings on initial charges. More information on how our savings are applied is detailed in the HL Guide to Fund Prices, Savings and Yields.
This means there is no initial charge to buy this fund with our saving applied. Please note that Unit Trusts may still have a small bid/offer spread.
Some types of funds, for example Unit Trusts, have a bid/offer spread. The savings we offer are used to discount the offer price for these funds. Other types of funds, such as OEICs, have a single price for buying and selling, but an initial charge can be applied separately.
A charge levied by a fund manager to pay for their services to manage the underlying portfolio of investments.
In addition to the fund manager’s annual management charge, there are additional costs for other services paid for by the fund known as other expenses. These include fees paid to auditors, registrars and the financial press. The figure does not include certain other costs, for example stock broking charges, stamp duty or bid/offer spreads on the underlying portfolio.
This is the monthly charge to hold this fund within the Vantage ISA, Junior ISA, SIPP, and/or Fund & Share Account. Please note this charge is applied individually to each type of account.
The index that the fund aims to track.
There are various ways a tracker fund can track an index, for example full physical, partial physical or synthetic replication. View an explanation of the types of each replication.
This is how frequently the fund manager rebalances the underlying portfolio in order to match the index it aims to track.
Some funds can lend their stock to a third party, normally a hedge fund, in exchange for a fee which is often shared between the fund and the fund manager. More about stock lending.
This is the maximum amount of stock that can be lent to a third party by a fund.
This is the fee that will be received by the fund for lending their stock to a third party.