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London International Corporation Ltd is authorised and regulated by the Financial Conduct Authority (FCA 603072).
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Fund values are indicative — calculated from the latest units and prices, which may carry a different valuation date and may exclude cash or pending transactions. They may not sum exactly to your total plan value, which is the provider's electronic valuation shown above. See important information below.
Important information about these figures. Your total plan value is the electronic valuation provided directly by your product provider and is the authoritative figure. The fund breakdown is indicative only: individual fund values are calculated from the most recent units and prices available, which may carry a different valuation date and may not include cash balances or pending transactions — so the funds may not add up exactly to your total plan value. Percentages shown are of the fund holdings. All figures may be delayed, are not a contract note or a guarantee of value, and are provided for information only; they do not constitute personal financial advice. For advice, please contact us.
London International Corporation Ltd is authorised and regulated by the Financial Conduct Authority (FCA 603072). Registered in England & Wales, company no. 8344538.