Hi if someone has again problems updating UK funds, please try these settings: URL: http://quote.morningstar.com/fund/chart.aspx?t=%1®ion=GBR Symbol: MatchingId:"([^"]*)" Price: NAV:"(\d+\.\d+)", Date: LastDate:"(\d+-\d+-\d+) \d+:\d+:\d+" Date Format: %y-%m-%d Thomas