This facility is supplied as a means to help you keep track of the value of your unit linked funds. The initial premium and any subsequent premiums buy units in your chosen funds. Each month some of the units are deducted to cover the cost of the company continuing to look after your policy, so you should contact us to get an update of the number of units in your policy at regular intervals.

To calculate the value of your policy at any time, you should multiply the number of units in each fund that your policy is invested in by the relevant Bid Price.

Acorn Life offer many different investment funds that can be used to meet your investment needs and appetite for investment risk. Our funds are expertly managed on our behalf by international, well-established and professional fund managers and you can find out more by clicking here.

Dated: 16 / 07 / 2025

Pension Funds Bid Price (€) Offer Price (€)
Pension Managed 16.203 17.055
Pension Managed Growth 19.409 20.43
Pension Deposit 3.817 4.017
Pension Cautiously Managed 1.893 1.992
Global Property 1.158 1.218
Target Return Fund 2 1.022 1.075
Cautious Select Fund 2 0.982 1.033
Moderate Select Fund 2 1.006 1.058
Diversified Select Fund 2 1.047 1.102
Dynamic Select Fund 2 1.094 1.151
Adventurous Select Fund 2 1.133 1.192
Diversified Multi-Manager Fund 2 1.069 1.125
Dynamic Multi-Manager Fund 2 1.092 1.149
Managed High Equity Fund 2 1.212 1.275
   
Pension Funds Series 8    
Managed Fund 8 11.672 11.672
Managed Growth Fund 8 12.13 12.13
Acorn Life Deposit Fund 8 10.577 10.577
Cautiously Managed Fund 8 10.765 10.765
Global Property 9.774 9.774
Target Return Fund 8 10.833 10.833
Cautious Select Fund 8 10.999 10.999
Moderate Select Fund 8 11.278 11.278
Diversified Select Fund 8 11.864 11.864
Dynamic Select Fund 8 12.174 12.174
Adventurous Select Fund 8 12.752 12.752
Diversified Multi-Manager Fund 8 11.224 11.224
Dynamic Multi-Manager Fund 8 12.195 12.195
Managed High Equity Fund 8 12.56 12.56
   
Pension Funds Series 9    
Managed Fund 9 16.193 17.045
Managed Growth Fund 9 19.398 20.418
Acorn Life Deposit Fund 9 3.814 4.014
Cautiously Managed Fund 9 1.891 1.99
Global Property Fund 9 1.157 1.217
Target Return Fund 9 1.022 1.075
Cautious Select Fund 9 0.981 1.032
Moderate Select Fund 9 1.005 1.057
Diversified Select Fund 9 1.047 1.102
Dynamic Select Fund 9 1.093 1.15
Adventurous Select Fund 9 1.133 1.192
Diversified Multi-Manager Fund 9 1.068 1.124
Dynamic Multi-Manager Fund 9 1.092 1.149
Managed High Equity Fund 9 1.211 1.274
   
Life Funds Series 1    
Life Managed 9.322 9.812
Life Managed Growth 11.062 11.644
Life Deposit 2.867 3.017
Life Cautiously Managed 1.683 1.771
Global Property 1.07 1.126
Target Return Fund 1 1.014 1.067
Cautious Select Fund 1 0.977 1.028
Moderate Select Fund 1 0.997 1.049
Diversified Select Fund 1 1.033 1.087
Dynamic Select Fund 1 1.07 1.126
Adventurous Select Fund 1 1.104 1.162
Diversified Multi-Manager Fund 1 1.048 1.103
Dynamic Multi-Manager Fund 1 1.07 1.126
Managed High Equity Fund 1 1.157 1.217
   
Life Funds Series 2    
Managed 16.203 17.055
Managed Growth 19.409 20.43
Deposit 3.817 4.017
Cautiously Managed 1.893 1.992
Global Property 1.158 1.218
Managed Equity & Bond 16.203 17.055
Managed Equity 19.409 20.43
Target Return Fund 2 1.022 1.075
Cautious Select Fund 2 0.982 1.033
Moderate Select Fund 2 1.006 1.058
Diversified Select Fund 2 1.047 1.102
Dynamic Select Fund 2 1.094 1.151
Adventurous Select Fund 2 1.133 1.192
Diversified Multi-Manager Fund 2 1.069 1.125
Dynamic Multi-Manager Fund 2 1.092 1.149
Managed High Equity Fund 2 1.212 1.275
   
Life Funds Series 3    
Managed Fund Series 3 1.632 1.717
Managed Growth Fund Series 3 1.911 2.011
Deposit Fund Series 3 0.841 0.885
Cautiously Managed Fund Series 3 1.054 1.109
Target Return Fund 3 0.976 1.027
Cautious Select Fund 3 0.941 0.99
Moderate Select Fund 3 0.964 1.014
Diversified Select Fund 3 1.004 1.056
Dynamic Select Fund 3 1.048 1.103
Adventurous Select Fund 3 1.086 1.143
Diversified Multi-Manager Fund 3 1.021 1.074
Dynamic Multi-Manager Fund 3 1.043 1.097
Managed High Equity Fund 3 1.165 1.226
   
Life & Pension Funds Series 4    
Managed Fund 4 1.362 1.433
Managed Growth Fund 4 1.518 1.597
Acorn Life Deposit Fund 4 1.043 1.097
Cautiously Managed Fund 4 1.054 1.109
Target Return Fund 4 1.012 1.065
Cautious Select Fund 4 0.976 1.027
Moderate Select Fund 4 1 1.052
Diversified Select Fund 4 1.042 1.096
Dynamic Select Fund 4 1.087 1.144
Adventurous Select Fund 4 1.127 1.186
Diversified Multi-Manager Fund 4 1.059 1.114
Dynamic Multi-Manager Fund 4 1.083 1.139
Managed High Equity Fund 4 1.202 1.265
   
Life Funds Series 5    
Managed Fund Series 5 1.345 1.415
Managed Growth Fund Series 5 1.499 1.577
Deposit Fund Series 5 1.033 1.087
Cautiously Managed Fund Series 5 1.041 1.095
Target Return Fund 5 1.004 1.056
Cautious Select Fund 5 0.968 1.018
Moderate Select Fund 5 0.99 1.042
Diversified Select Fund 5 1.032 1.086
Dynamic Select Fund 5 1.078 1.134
Adventurous Select Fund 5 1.117 1.175
Diversified Multi-Manager Fund 5 1.049 1.104
Dynamic Multi-Manager Fund 5 1.072 1.128
Managed High Equity Fund 5 1.192 1.254
   
Life Funds Series 6    
Managed Fund Series 6 1.04 1.094
Managed Growth Fund Series 6 1.088 1.145
Deposit Fund Series 6 0.982 1.033
Cautiously Managed Fund Series 6 0.925 0.973
Target Return Fund 6 0.985 1.036
Cautious Select Fund 6 0.95 0.999
Moderate Select Fund 6 0.972 1.023
Diversified Select Fund 6 1.013 1.066
Dynamic Select Fund 6 1.058 1.113
Adventurous Select Fund 6 1.096 1.153
Diversified Multi-Manager Fund 6 1.03 1.084
Dynamic Multi-Manager Fund 6 1.053 1.108
Managed High Equity Fund 6 1.175 1.236
   
Life Funds Series 7    
Managed Fund 7 1.069 1.125
Managed Growth Fund 7 1.12 1.178
Acorn Life Deposit Fund 7 1.009 1.062
Cautiously Managed Fund 7 0.95 1
Target Return Fund 7 1.012 1.065
Cautious Select Fund 7 0.976 1.027
Moderate Select Fund 7 1 1.052
Diversified Select Fund 7 1.042 1.096
Dynamic Select Fund 7 1.087 1.144
Adventurous Select Fund 7 1.127 1.186
Diversified Multi-Manager Fund 7 1.059 1.114
Dynamic Multi-Manager Fund 7 1.083 1.139
Managed High Equity Fund 7 1.202 1.265

You can buy units at the offer price and sell them at the bid price. If you would like more information on unit funds please click here.

Tax is deducted from Life Funds Series 1 on an ongoing basis at the standard rate of tax and your policy will not suffer any further tax on encashment.

For all savings/protection/investment policies investing in Life Funds Series 2, Life Fund Series 3 and Life & Pension Funds Series 4, tax at 41% on any growth is deducted eight years from commencement, every eight years thereafter and on partial or fully encashment.

For pension policies, at retirement part of your fund is payable free of tax and the remainder is taxed at your marginal tax rate.

All withdrawals/enashments from ARF/AMRF policies are subject to PAYE, Universal Social Charge (USC), PRSI and any other deductions as may be required by Revenue.

Past Performance is not necessarily a guide to future returns. Unit Prices can fall as well as rise and returns will depend on actual growth levels achieved.

While Acorn Life makes every reasonable effort to ensure that the information contained here is current, accurate and complete, this is not guaranteed and you should refer to the terms and conditions on use of this site for further information.

 

 

 

SUSTAINABILITY IMPACT REQUIREMENTS DISCLOSURE STATEMENT

Acorn Life DAC is a financial market participant which provides Protection, Savings, Pensions and Investment products specifically designed for the Irish market. As a financial market participant Acorn Life DAC is required to make certain disclosures under Regulation (EU) 2019/2088 of the European Parliament and of the Council of 27 November 2019 on sustainability-related disclosures in the financial services sector (SFDR).

 

THE INTEGRATION OF SUSTAINABILITY RISKS IN ACORN LIFE DAC'S INVESTMENT DECISION - MAKING PROCESS

Acorn Life DAC does not have a policy on the integration of sustainability risks in the investment decision making process. This is because we outsource the fund management of our investment funds.

HSBC Global Asset Management and Mercer Global Investments Europe Limited, to which we outsource the fund management of our investment funds (other than the Deposit Fund), have made disclosures in relation to the SFDR available on their websites.

 

NO CONSIDERATION OF ADVERSE IMPACTS OF INVESTMENT DECISIONS ON SUSTAINABILITY FACTORS

Given the relative size of our company and the range of investment funds that we currently provide, we do not currently assess the impact of investment decisions on sustainability factors as part of investment due diligence or disclose the outcome of such an assessment to investors.

This position will remain under review. If we decide to extend our investment funds offering to include sustainable investments, we will then consider adverse impacts of investments on sustainability factors as part of our investment due diligence as required under the SFDR.

 

REMUNERATION POLICIES

Acorn Life DAC's Remuneration Policy, is consistent with the integration of sustainability risks including regular evaluation of whether the remuneration architecture does not encourage any inappropriate risk taking.

Acorn Life DAC's Agency Remuneration Policy (for our tied-insurance intermediaries) is consistent with the integration of sustainability risks including regular evaluation of whether the remuneration architecture does not encourage any inappropriate risk taking.

 

UPDATES TO DISCLOSURES

This disclosure document was updated and amended on the June 22nd 2022. This update occurred to expand our statements on the integration of sustainability risks in our decision-making process, consideration of sustainability adverse impacts, and as a result of amendments made to our Remuneration policies to allow for the integration of sustainability risks.