Prudential PruFund Planet (1-5) Account Pension Series E

SRI Style:

Sustainable Style

SDR Labelling:

-

Product:

Pension

Fund Region:

Global

Fund Asset Type:

With-Profit

Launch Date:

26/07/2021

Last Amended:

Dialshifter ():

Fund/Portfolio Size:

£m

ISIN:

GB00BN7BX309, GB00BN7BX523, GB00BN7BX747, GB00BN7BX960, GB00BN7BXC90

Primary fund last amended:


Information directly from fund manager.

Sustainable, Responsible &/or ESG Policy:

PruFund Planet is a range of five funds, each with their own risk profile that seek to deliver positive environmental and societal outcomes.

Investment Objective

The funds aim to produce growth over the medium to long-term (5 to 10 years or more) while smoothing some of the ups and downs of short-term investment performance. The funds spreads investment risk by investing in a range of different asset types, which currently includes UK and international equities, property, fixed interest securities, index-linked securities and other specialist investments. The funds are actively managed.  There is no guarantee the fund will achieve its objective of managing  volatility. In addition to generating financial returns most of the underlying funds apply at least one of the three ESG investing approaches:

  • Mitigating Environmental, Social and Governance risks and minimising negative outcomes
  • Pursuing Environmental, Social and Governance opportunities
  • Focussing on addressing environmental and social issues

(Source: Fund factsheet, as at January 2026)

Fund Name SRI Style SDR Labelling Product Region Asset Type Launch Date Last Amended

Prudential PruFund Planet (1-5) Account Pension Series E

Sustainable Style - Pension Global With-Profit 26/07/2021

ISIN: GB00BN7BX309, GB00BN7BX523, GB00BN7BX747, GB00BN7BX960, GB00BN7BXC90

Information received directly from Fund Manager

Please select what you would like to read:

Sustainable, Responsible &/or ESG Policy:

PruFund Planet is a range of five funds, each with their own risk profile that seek to deliver positive environmental and societal outcomes.

Investment Objective

The funds aim to produce growth over the medium to long-term (5 to 10 years or more) while smoothing some of the ups and downs of short-term investment performance. The funds spreads investment risk by investing in a range of different asset types, which currently includes UK and international equities, property, fixed interest securities, index-linked securities and other specialist investments. The funds are actively managed.  There is no guarantee the fund will achieve its objective of managing  volatility. In addition to generating financial returns most of the underlying funds apply at least one of the three ESG investing approaches:

  • Mitigating Environmental, Social and Governance risks and minimising negative outcomes
  • Pursuing Environmental, Social and Governance opportunities
  • Focussing on addressing environmental and social issues

(Source: Fund factsheet, as at January 2026)