This page shows retail sales of UK funds and recognised overseas funds.

Most recent data available: July 2021 

Please note, all sales are shown net.

Tables

£m Total Equity Fixed Income Money Market Mixed Asset Property Other ISA
Q2 2021 14,045 6,173 3,226 -244 3,668 -240 1,462 2,047
Q1 2021 10,069 2,149 4,728 -1,696 3,465 -140 1,563 1,084
Q4 2020 17,024 7,129 3,219 852 5,208 -382 999 -60
Q3 2020 5,294 -472 4,586 -878 1,618 17 423 -595
Q2 2020 10,792 4,250 4,929 214 1,666 -83 -184 1,212
Q1 2020 -2,293 -496 -4,770 2,814 582 157 -581 -1,184
Q4 2019 5,398 2,934 2,004 -1,745 2,807 -282 -321 -892
Q3 2019 1,144 -4,643 2,075 1,519 2,344 -335 185 -1,025

Notes

  • Figures: All figures are in £ millions. Figures have therefore been rounded to the nearest £ million. Where a chart shows a value of £0 - this indicates a figure below £500,000.
  • Revisions: Each month small revisions to the figures may have been made since the previous release. This reflects additional information received.
  • ISA figures from January 2008: Figures are based on ISAs provided by fund companies and five platforms (Cofunds, Fidelity, Hargreaves Landsdown, Skandia and Transact). Figures for earlier years cover fewer platforms. The figures do not include ISAs provided by other platforms or where the ISA provider is an intermediary other than a platform. All figures include former PEPs.
  • Asset types: (Equity, Fixed Income etc) are defined in terms of the Investment Association sectors included. To see which sectors are allocated to each asset type, see the table 'Statistics by sector - Sector summary - asset type by sector'.
  • All sales and repurchases to funds of funds are included. To avoid double counting, transactions between funds of funds and their underlying funds are excluded from January 2010.
  • ISA figures exclude a small number of funds held on fund platforms but not in an Investment Association sector. These figures are, however, included in the Investment Association monthly press release tables, unless otherwise footnoted