Fund prices

Manager of managers (retail prices)

Manager of Managers
Fund name Info   Price Daily change Yield Date
European Equity MoM Fund Fund information unavailable Latest factsheet unavailable Fund Guide unavailable Download Key Investor Information Document   188.50 up 1.00p 0.53% 0% 15/05/2013
Japanese MoM Fund Fund information unavailable Latest factsheet unavailable Fund Guide unavailable Download Key Investor Information Document   131.70 none 0.00p 0.00% 0% 17/05/2013
North American MoM Fund Fund information unavailable Latest factsheet unavailable Fund Guide unavailable Download Key Investor Information Document   184.10 up 2.40p 1.32% 0% 15/05/2013
Pacific Basin MoM Fund Fund information unavailable Latest factsheet unavailable Fund Guide unavailable Download Key Investor Information Document   260.00 down -0.10p -0.04% 0% 10/05/2013
UK Bond MoM Fund Fund information unavailable Latest factsheet unavailable Fund Guide unavailable Download Key Investor Information Document   140.70 none 0.00p 0.00% 0% 13/05/2013
UK Equity MoM Fund Fund information unavailable Latest factsheet unavailable Fund Guide unavailable Download Key Investor Information Document   190.90 down -0.20p -0.10% 0% 17/05/2013

 

About the prices

The price shown is the price at which units in each of the funds are bought and sold on 21/05/2013. These prices are for information purposes only. For more information on the actual unit prices that will be used when a transaction is carried out please contact us.

Yields (All Yields calculated at the 15th of each month and updated as soon as possible after this date)

The Historic Yield reflects distributions declared over the past twelve months as a percentage of the mid-market unit price, as at the date shown. It doesn’t include any preliminary charge and investors may be subject to tax on their distributions.

For Funds marked * we quote the underlying yield. This reflects the annualised income, net of expenses of the fund (calculated in accordance with relevant accounting standards), as a percentage of the mid-market unit price of the fund. It’s based on a snapshot of the portfolio on that day. It doesn’t include any preliminary charge and investors may be subject to tax on distributions.

Where the yield is shown as 'n/a', this indicates that the Fund's yield is not available.