|Last Price||£33.31||Day Change||£0.09 (0.0026%)|
|Price Date||1 Dec 2023||Morningstar Rating|
|Shares Class||Acc||Yield||0.00 %|
|Last Ex-Dividend Date||01 January 2020||Dividend Frequency||-|
|Launch Date||01/01/2020||Standard Initial Charge||0.00%|
|Ongoing cost||0.89%||Annual Management Charge||0.00%|
The objective of the fund is to seek to achieve long term capital growth through the active management of a diversified portfolio invested primarily in North American stock markets. It is not proposed to concentrate investments in any one industry or sector.
Jupiter Asset Management (Europe) Limited
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