Short Term Performance

Returns over the previous twelve months to:
31st January 2012- Currency GBP - Net of fees 

 Period   1 month cumulative  3 month cumulative  6 month cumulative  12 month cumulative
Low Risk Portfolio 1.07% -0.57% 1.57% 5.27%
Conservative Portfolio 2.08% 1.59% 0.39% 2.82%
Cautious Portfolio 2.85% 2.65% -0.30% 0.85%
Balanced Portfolio 3.29% 3.17% -0.72% -0.15%
Growth Portfolio 3.74% 3.70% -1.19% -1.18%
Aggressive Portfolio 4.70% 4.75% -2.14% -3.15%
High Risk Portfolio 6.11% 6.00% -3.53% -5.66%