Offshore Funds Prices

Prices of our funds, updated every working day

This section of the site lists the prices and yields of our funds.

Select from the three currencies below to see the latest prices. You can also view the daily prices for the Money Fund.

Funds prices are based on the Mid Market Values of the underlying assets of each Fund

Prices as at: 22 May 2012

Currency ClassPriceYield (%)
Lloyds TSB Offshore Funds Limited Capital Growth Fund1.6951.17
Lloyds TSB Offshore Funds Limited European Fund5.7801.10
Lloyds TSB Offshore Funds Limited High Income Fund0.8265 XD5.99
Lloyds TSB Offshore Funds Limited International Fund3.2210.25
Lloyds TSB Offshore Funds Limited North American Fund10.890.00
Lloyds TSB Offshore Funds Limited Sterling Bond Fund1.346 XD4.44
Lloyds TSB Offshore Funds Limited UK Fund5.7071.88
Lloyds TSB Offshore Gilt Fund Limited Monthly 'B' Shares1.254 XD2.70
Lloyds TSB Offshore Gilt Fund Limited Quarterly 'A' Shares1.2992.70
Lloyds TSB Offshore Multi Strategy Fund Limited Aggressive Strategy1.2280.38
Lloyds TSB Offshore Multi Strategy Fund Limited Conservative Strategy1.0432.89
Lloyds TSB Offshore Multi Strategy Fund Limited Global US$ Growth Strategy0.61220.00
Lloyds TSB Offshore Multi Strategy Fund Limited Growth Strategy1.1881.37
Lloydstrust Gilt Fund Limited Lloydstrust Gilt Fund12.592.88

The Funds' prices are indicative and should not be considered as an invitation to purchase shares and do not include any charges that may be levied during the purchase and redemption of shares.

Funds prices are based on the Mid Market Values of the underlying assets of each Fund

Prices as at: 22 May 2012

Currency ClassPriceYield (%)
Lloyds TSB Offshore Funds Limited Capital Growth Fund2.0961.17
Lloyds TSB Offshore Funds Limited Euro High Income Fund1.539 XD4.86
Lloyds TSB Offshore Funds Limited European Fund7.1461.10
Lloyds TSB Offshore Funds Limited International Fund3.9830.25
Lloyds TSB Offshore Funds Limited North American Fund13.460.00
Lloyds TSB Offshore Funds Limited UK Fund7.0571.88
Lloyds TSB Offshore Multi Strategy Fund Limited Aggressive Strategy1.5180.38
Lloyds TSB Offshore Multi Strategy Fund Limited Conservative Strategy1.2902.89
Lloyds TSB Offshore Multi Strategy Fund Limited Global US$ Growth Strategy0.75680.00
Lloyds TSB Offshore Multi Strategy Fund Limited Growth Strategy1.4691.37

The Funds' prices are indicative and should not be considered as an invitation to purchase shares and do not include any charges that may be levied during the purchase and redemption of shares.

Funds prices are based on the Mid Market Values of the underlying assets of each Fund

Prices as at: 22 May 2012

Currency ClassPriceYield (%)
Lloyds TSB Offshore Funds Limited Capital Growth Fund2.6781.17
Lloyds TSB Offshore Funds Limited European Fund9.1311.10
Lloyds TSB Offshore Funds Limited International Fund5.0890.25
Lloyds TSB Offshore Funds Limited North American Fund17.200.00
Lloyds TSB Offshore Funds Limited UK Fund9.0171.88
Lloyds TSB Offshore Multi Strategy Fund Limited Aggressive Strategy1.9400.38
Lloyds TSB Offshore Multi Strategy Fund Limited Conservative Strategy1.6482.89
Lloyds TSB Offshore Multi Strategy Fund Limited Global US$ Growth Strategy0.96720.00
Lloyds TSB Offshore Multi Strategy Fund Limited Growth Strategy1.8781.37

The Funds' prices are indicative and should not be considered as an invitation to purchase shares and do not include any charges that may be levied during the purchase and redemption of shares.

Prices as at: 22 May 2012

Currency ClassPrice per shareAnnualised Return %*
Sterling 52.370 0.19
US Dollar 60.898 0.00
Euro 53.064 0.00
Australian Dollar 165.283 2.93
New Zealand Dollar 200.061 1.43

The Funds' prices are indicative and should not be considered as an invitation to purchase shares and do not include any charges that may be levied during the purchase and redemption of shares.

* The annualised returns are projected returns based on the current deposits held within each portfolio. As a result these figures are not a guarantee of future returns.

Latest prices and returns can also be found daily in The Financial Times under the heading: "MANAGED FUNDS SERVICE".

Investors should be aware that the price of shares may go down as well as up. Whilst the price of a share will normally rise as income accrues in respect of underlying investments, such price may fall in certain circumstances such as a substantial change in interest rates or, in the case of the managed currency classes, a fluctuation in exchange rates.

An investment in a currency other than the shareholder's own base currency will be subject to the movement of foreign exchange rates, which may cause an additional favourable or unfavourable change in value. The Fund has no obligation to redeem shares at the subscription price originally paid and due to these factors you may get back less than the original amount invested. Past performance should not be seen as an indication of future performance.

Need help?

For information about our investments, please contact us.

From within the UK, call:
0800 055 6358

From outside the UK, call:
+44 (0) 1624 641825

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