Quick Stats

Last Price £10.56 Day Change £0.02 (0.0020%)
Price Date 5 Dec 2023 Morningstar Rating 3
Shares Class Acc Yield 0.00 %
Last Ex-Dividend Date 01 January 2020 Dividend Frequency -
Sector Targeted Absolute Return Fund Size 0.00
Launch Date 01/01/2020 Standard Initial Charge 0.00%
Ongoing cost 1.07% Annual Management Charge 0.00%

Fund Objective

The investment objective of the Fund is to generate positive absolute returns over a rolling 12 month period, irrespective of market conditions. The Fund will invest in bond and credit markets worldwide (including developed and emerging markets). The Investment Adviser will seek to achieve the investment objective of the Fund by investing directly in bond and credit instruments or through the use of derivatives (specifically currency forwards, total return swaps, credit default swaps, interest rate swaps, futures, options and embedded derivatives). The Fund will invest in government bond and credit markets through investments in debt securities namely bonds which may be fixed or floating rate, corporate or sovereign, inflation or index linked bonds and other forms of securitised debt (including embedded derivatives) such as credit linked notes, mortgage or other asset backed debt instruments.

Fund Managers

Liontrust Investment Partners LLP