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ILF GBP Liquidity Fund (LVNAV) Expand Collapse

Fund base currency Net asset value Daily assets as % of NAV Weekly assets as % of NAV Monthly assets as % of NAV Weighted average maturity (WAM) Weighted average life (WAL) Yields as at Top 10 holdings*
GBP 23,997,389,899.20 38.02 41.08 55.16 37 47 31 May 2023
Share class Sedol code ISIN code NAV per share (MTM) Nav per share (Amortised) Difference (bp): MTM/Amortised Net yield daily dividend Gross one day yield Net one day yield Literature
Class 1 (Distribution) 3239801 IE0032398012 0.9997 1.0000 3 0.0001190136 4.5439 4.3440 Expand + Collapse
Fund literature Download
Incorporation documents
Prospectus
Fund supplement
Country supplement
Interim report and accounts
Annual report and accounts
Key investor information document
PRIIPS KID
Class 2 (Distribution) 3239823 IE0032398236 0.9997 1.0000 3 0.0001242125 4.5438 4.5338 Expand + Collapse
Fund literature Download
Incorporation documents
Prospectus
Fund supplement
Country supplement
Interim report and accounts
Annual report and accounts
Key investor information document
PRIIPS KID
Class 3 (Distribution) 3239834 IE0032398343 0.9997 1.0000 3 0.0001217525 4.5439 4.4440 Expand + Collapse
Fund literature Download
Incorporation documents
Prospectus
Fund supplement
Country supplement
Interim report and accounts
Annual report and accounts
Key investor information document
PRIIPS KID
Class 4 (Accumulation) B04TW62 IE00B04TW624 1.2986 1.2987 1 0.0001527996 4.5399 4.2901 Expand + Collapse
Fund literature Download
Incorporation documents
Prospectus
Fund supplement
Country supplement
Interim report and accounts
Annual report and accounts
Key investor information document
PRIIPS KID
Class 5 (Distribution) B182N61 IE00B182N611 0.9996 1.0000 4 0.0001203720 4.5435 4.3936 Expand + Collapse
Fund literature Download
Incorporation documents
Prospectus
Fund supplement
Country supplement
Interim report and accounts
Annual report and accounts
Key investor information document
PRIIPS KID
Class 6 (Distribution) B5KTGX6 IE00B5KTGX68 0.9997 1.0000 3 0.0001228484 4.5439 4.4840 Expand + Collapse
Fund literature Download
Incorporation documents
Prospectus
Fund supplement
Country supplement
Interim report and accounts
Annual report and accounts
Key investor information document
PRIIPS KID
Class 7 (Accumulation) B5V6P28 IE00B5V6P283 1.0771 1.0771 0 0.0001311549 4.5323 4.4326 Expand + Collapse
Fund literature Download
Incorporation documents
Prospectus
Fund supplement
Country supplement
Interim report and accounts
Annual report and accounts
Key investor information document
PRIIPS KID
Class 9 (Accumulation) - IE00BM9TKL29 103.0924 103.0954 0 0.0128079168 4.5443 4.5343 Expand + Collapse
Fund literature Download
Incorporation documents
Prospectus
Fund supplement
Country supplement
Interim report and accounts
Annual report and accounts
Key investor information document
PRIIPS KID

ILF USD Liquidity Fund (LVNAV) Expand Collapse

Fund base currency Net asset value Daily assets as % of NAV Weekly assets as % of NAV Monthly assets as % of NAV Weighted average maturity (WAM) Weighted average life (WAL) Yields as at Top 10 holdings*
USD 885,546,211.99 66.35 71.98 87.05 12 12 31 May 2023
Share class Sedol code ISIN code NAV per share (MTM) Nav per share (Amortised) Difference (bp): MTM/Amortised Net yield daily dividend Gross one day yield Net one day yield Literature
Class 2 (Distribution) B04TWD9 IE00B04TWD92 0.9999 1.0000 1 0.0001404143 5.0944 5.0549 Expand + Collapse
Fund literature Download
Incorporation documents
Prospectus
Fund supplement
Interim report and accounts
Annual report and accounts
Key investor information document
PRIIPS KID
Class 3 (Distribution) B04TWF1 IE00B04TWF17 1.0000 1.0000 0 0.0001387783 5.0947 4.9960 Expand + Collapse
Fund literature Download
Incorporation documents
Prospectus
Fund supplement
Interim report and accounts
Annual report and accounts
Key investor information document
PRIIPS KID
Class 4 (Accumulation) B04TWG2 IE00B04TWG24 1.2738 1.2738 0 0.0001715180 5.1092 4.8619 Expand + Collapse
Fund literature Download
Incorporation documents
Prospectus
Fund supplement
Interim report and accounts
Annual report and accounts
Key investor information document
PRIIPS KID

ILF EUR Liquidity Fund (LVNAV) Expand Collapse

Fund base currency Net asset value Daily assets as % of NAV Weekly assets as % of NAV Monthly assets as % of NAV Weighted average maturity (WAM) Weighted average life (WAL) Yields as at Top 10 holdings*
EUR 2,841,747,790.01 43.99 48.94 66.12 30 34 31 May 2023
Share class Sedol code ISIN code NAV per share Nav per share (Amortised) Difference (bp): MTM/Amortised Net yield daily dividend Gross one day yield Net one day yield Literature
Class 2 (Accumulation) B7LX6K8 IE00B7LX6K86 98.3407 98.3401 0 0.0087131531 3.2094 3.1897 Expand + Collapse
Fund literature Download
Incorporation documents
Prospectus
Fund supplement
Country supplement
Interim report and accounts
Annual report and accounts
Key investor information document
PRIIPS KID
Class 3 (Accumulation) B89C6Y8 IE00B89C6Y85 97.6656 97.6650 0 0.0084393210 3.2092 3.1106 Expand + Collapse
Fund literature Download
Incorporation documents
Prospectus
Fund supplement
Country supplement
Interim report and accounts
Annual report and accounts
Key investor information document
PRIIPS KID
Class 6 (Accumulation) B8FVYY5 IE00B8FVYY57 97.9295 97.9290 0 0.0085426056 3.2094 3.1403 Expand + Collapse
Fund literature Download
Incorporation documents
Prospectus
Fund supplement
Country supplement
Interim report and accounts
Annual report and accounts
Key investor information document
PRIIPS KID
Class 7 (Accumulation) B8FXXP5 IE00B8FXXP57 97.7250 97.7244 0 0.0084444601 3.2096 3.1109 Expand + Collapse
Fund literature Download
Incorporation documents
Prospectus
Fund supplement
Country supplement
Interim report and accounts
Annual report and accounts
Key investor information document
PRIIPS KID
Class 8 (Accumulation) BCBVBJ1 IE00BCBVBJ11 98.3464 98.3459 0 0.0085790639 3.2093 3.1403 Expand + Collapse
Fund literature Download
Incorporation documents
Prospectus
Fund supplement
Country supplement
Interim report and accounts
Annual report and accounts
Key investor information document
PRIIPS KID

Please note:

  • Amortised Cost Stable NAV’s are rounded to 2 decimal places for dealing as per the MMF Regulations.
  • For the LVNAV funds, prior to the MMFR conversion on the 26th November 2018 their NAV per share was 1.00 (as they were Constant NAV funds).
  • *Top 10 holdings file is updated weekly.

Important information

The value of investments and any income from them will fluctuate and is not guaranteed (this may be partly due to exchange rate fluctuations).

Investors may not get back the full amount invested. Past performance is not a guide to future performance.

This is not a banking product and whilst preservation of capital is a major component of the objective it is not guaranteed.

Neither Insight nor any other BNYM group company will provide capital support in the event of any capital loss.

Where the portfolio holds over 35% of its net asset value in securities of one governmental issuer, the value of the portfolio may be profoundly affected if one or more of these issuers fails to meet its obligations or suffers a ratings downgrade.

Please refer to Insight’s Remuneration Disclosure policy.

1As of 18 November 2022, the Fund will formally:

  • Exclude issuers without a Prime ESG rating
  • Exclude corporate, sovereign and sovereign related issuers with the worst possible Prime ESG rating
  • Exclude corporate issuers with material involvement in fossil fuel power generation, thermal coal mining, tobacco production, the operation of gambling facilities, or the production of conventional and civilian weapons; and those deemed to be involved in controversial weapons production or severe ESG controversies

More information on our proprietary Prime ESG ratings is available here.

As a result of these changes, the Fund will now be classified as Article 8 under SFDR.

Full details of the changes are available in the Fund’s updated Prospectus supplement.