The Fund's investment objective is to achieve long term capital growth from a portfolio primarily made up of the shares of companies around the world. The Fund has a blend of investments in larger-, medium- and smaller-sized companies. The Fund Manager is not restricted in the choice of companies either by size or industry, or in terms of the geographical split of the portfolio, and the choice of stocks is largely determined by the availability of attractive investment opportunities.
Name | % Net Assets |
---|---|
Sanofi | 3.6% |
eBay Inc | 3.4% |
Exxon Mobil Corporation | 3.1% |
Noble Corporation | 3.0% |
Royal Dutch Shell PLC | 3.0% |
Japan Tobacco Inc.CFD | 2.8% |
Barrick Gold Corporation | 2.7% |
Metro AG | 2.7% |
Fuji Heavy IndustriesCFD | 2.7% |
Danone | 2.4% |
Key | % Net Assets |
---|---|
Sanofi | 3.6% |
eBay Inc | 3.4% |
Exxon Mobil Corporation | 3.1% |
Noble Corporation | 3.0% |
Other | 86.9% |
Date | 21-Nov-2024 |
---|---|
NAV | 6,772.00p |
Currency | GBP |
Change | 41.00p |
% | 0.61% |
YTD change | 836.00p |
YTD % | 14.08% |
Fund Inception | 15/09/2006 |
---|---|
Fund Manager | Jorma Korhonen |
TER | 1.71 (28-Feb-2012) |
Minimum Investment | |
---|---|
Initial | n/a |
Additional | n/a |
Savings | n/a |
Charges | |
---|---|
Initial | 3.50% |
Annual Mang't | 1.50% |
Exit | n/a |
Name | % |
---|---|
No risk data available. |
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