£0.84£-0.00 (-0.0018%)213 Nov 2025
Last Price£0.84Day Change£-0.00 (-0.0018%)
Price Date13 Nov 2025Morningstar Rating2
Shares ClassIncYield5.30%
Last Ex-Dividend Date2020-01-01Dividend Frequency-
Sector£ High YieldFund Size0.00
Launch Date2020-01-01Standard Initial Charge0.00%
Ongoing cost0.70%Annual Management Charge0.00%
ISINIE00B8GCTN18

Fund Objective

The investment objective of the Fund is to provide a combination of investment growth and income, the Fund will seek to achieve its objective on an active basis. The Fund will predominantly invest in fixed and floating rate sub-investment grade debt securities which will primarily include corporate bonds which are listed or dealt on the Recognised Markets, across the high yield credit spectrum. The Fund will also invest a small portion in fixed and floating rate investment grade securities, which will primarily include bonds. The Fund will also invest in fixed and floating rate investment grade and sub-investment grade government bonds which are listed or dealt on the Recognised Markets.

Fund Managers

Royal London Asset Management Ltd