Threadneedle Navigator Growth Managed Trust
|
|
- Virgil Hunt
- 5 years ago
- Views:
Transcription
1 Annual Short Report 1 June 2017 Fund Manager s Report Alex Lyle Performance Over the twelve months to 1 June 2017, the offer price of accumulation units rose by 21.60% from p to p. In view of the nature of the Trust and its investment remit there is no directly comparable market index. Market Overview and Portfolio Activity Global equities performed very strongly over the period under review, with all of the major regional markets posting double-digit returns in local currency terms. The returns for UK-based investors were even stronger due to the weakness of sterling following the UK s vote to leave the European Union. Over the year as a whole, equity markets benefited from a marked improvement in global risk appetite, a rise in commodity prices, some better-than-expected corporate results, ongoing monetary stimulus and signs of economic stabilisation in China. Trump s victory in November s US presidential election fuelled a strong market rally amid expectations of lower taxes, looser regulation and increased infrastructure spending. There were strong gains by cyclical (economy sensitive) stocks as new stimulus measures from the Trump administration could help boost global growth. Technology stocks have performed particularly well since the election. Within the US, robust employment data and solid economic growth heightened expectations for a rate hike. The Federal Reserve (Fed) duly delivered a rise of 25 basis points in both December and March. However, investors were reassured by the Fed s dovish comments that accompanied the second hike. Markets in the US and UK hit successive record highs in 2017, and key European markets scaled new heights as populist political parties in Europe lost ground. Sentiment was also supported by the continuation of record low interest rates in both Japan and the eurozone. Additionally, the European Central Bank extended its bond-buying scheme until at least December Throughout the year, the Bank of Japan endeavoured to boost inflation and weaken the yen, with mixed success. In the UK, the Bank of England (BoE) cut rates to a historic low after the Brexit vote, to help support the economy. Economic activity globally has generally been more robust than expected, particularly in the UK which has proved more resilient than many commentators predicted at the time of the Brexit vote. The muchanticipated triggering of Article 50 by Theresa May on 29 March, followed by the announcement of a UK general election on 8 June, had little immediate impact on the market. Emerging markets produced strong gains despite the rise in US interest rates and Trump s protectionist rhetoric. There was some thawing of relations between the US and China following April s meeting between the presidents of both countries. Core government bond markets experienced mixed fortunes. The market in Japan posted a negative return in contrast to the gains seen in the UK and Europe, while returns from US Treasury bonds were flat. The UK bond market was the best performer, buoyed by the BoE s measures to steady financial markets after the Brexit vote. In addition to cutting rates to 0.25%, the central bank introduced a bank-funding scheme and expanded its bond-purchasing programme to include corporate as well as government bonds. The latter measure provided further support for UK investmentgrade corporate bonds, while high-yield bonds and emerging market bonds also had a strong year, buoyed the improvement in risk appetite. In the first half of the reporting period, we reduced the trust s exposure to European equities, via the European Fund, given the initial uncertainty caused by the Brexit vote. However, later in the year we added back to Europe, as some of the political risk had dissipated and we were encouraged by the strength of company earnings and appealing valuations. During the year, we felt it prudent to realise some gains on UK equities following their strong performance, and we trimmed the holdings in the UK Fund, the UK Institutional Fund and the UK Growth & Income Fund. These funds have significant exposure to companies with substantial overseas earnings, whose shares have risen strongly as these firms are beneficiaries of the weaker pound. Some of the proceeds from these sales were directed towards global emerging-market equities, as a number of resource-rich economies benefited from last year s rally in commodity prices. Sentiment towards several countries was also supported by further interest rate cuts and government stimulus measures designed to boost economic activity. We have been encouraged by the improved outlook for corporate earnings and more attractive valuations. A key portfolio adjustment in the first quarter of 2017 was a reduction in the fund s exposure to the US stock market, which had reached record highs and looked relatively fully valued. There is also some debate as to whether President Trump will be able to deliver a major cut in corporate taxation, which in many cases has already been factored into valuations. Within the fixed-income component of the portfolio, we increased the exposure to investment-grade corporate bonds and emerging-market local currency bonds. Conversely, we reduced the position in the Global Opportunities Bond Fund and took some profits on the Sterling Bond Fund. We hold a positive view on the prospects for global equities. While interest rates have already moved away from emergency settings in the US, and are likely to continue along an upward path in 2017, monetary policy in the UK, Europe and Japan should remain accommodative. Although sentiment towards Asian and emerging market equities was initially hurt by Trump s stated protectionist policies, his recent pronouncements have been more conciliatory. Overall, compared to their longer-term history, we believe that equities offer better value than bonds. Election Update The commentary contains a market background with a snapshot of investor sentiment during the period under review. Although the UK election has since taken place, the result has no retroactive bearing on what investors were thinking prior to the vote. Fund Facts Fund Accounting and Distribution Dates Accounting Dates Payment Dates 1 June 1 August
2 Ongoing Charges Figure The Ongoing Charges Figure (OCF) is the European standard method of disclosing the charges of a unit class of a trust based on the financial year s expenses and may vary from year to year. It includes charges such as the trust s annual management charge, registration fee, custody fees and distribution cost but ordinarily excludes the costs of buying or selling assets for the trust (unless these assets are shares of another fund). The non-ucits retail scheme Key Investor Information (NURS-KII) contains the current OCF. The calculation includes the trust s share of the expenses of the underlying fund less any fee rebates received. The share of costs of the underlying funds may fluctuate due to changes in investment decisions, which may be required as a result of changes in market conditions. For a more detailed breakdown please visit columbiathreadneedle.com/fees. Unit class 1 June June 2016 Accumulation units 1.49% 1.48% Summary of Trust Performance Performance History (%) Unit class Accumulation units To 31 May Source: Morningstar and Threadneedle. Bid to bid prices are quoted (i.e. not including any initial charge) with net income reinvested for a UK basic rate tax payer and gross income reinvested for a non-uk resident. Performance data is quoted in sterling, unless otherwise stated. Past performance is not a guide to future investment performance. The value of investments and any income is not guaranteed and can go down as well as up and may be affected by exchange rate fluctuations. This means that an investor may not get back the amount invested. Net Asset Value (NAV) NAV pence per unit Number of units in issue As at Unit class NAV ( ) 1 June 2017 Accumulation units 63,926, ,058,981 1 June 2016 Accumulation units 56,282, ,183,644 1 June 2015 Accumulation units 60,948, ,462,790 Distribution History/Unit Price Range Pence per unit Highest offer price (pence) Lowest bid price (pence) Year to Unit class 1 June 2017 Accumulation units June 2016 Accumulation units June 2015 Accumulation units Past performance is not a guide to future performance.
3 Classification of Investments 1 June 2017 vs 1 June % 50% Threadneedle Navigator Growth Managed Trust 1 June June % 30% 20% 10% 0% UK equity Overseas equity UK bond Overseas bond Net other assets Portfolio Information Top Five Holdings as at 1 June 2017 % of Trust Threadneedle UK Fund Threadneedle UK Growth & Income Fund Threadneedle UK Institutional Fund Threadneedle UK Corporate Bond Fund Threadneedle European Fund Top Five Holdings as at 1 June 2016 % of Trust Threadneedle UK Fund Threadneedle UK Growth & Income Fund Threadneedle UK Institutional Fund Threadneedle UK Corporate Bond Fund Threadneedle European Fund 10.06
4 Investment Objective and Policy To achieve capital growth from investment in collective investment schemes managed or advised by, or in the case of an authorised company whose authorised corporate director is Threadneedle Investment Services Limited or any company within the group of companies of which it is a member. The Trust may also hold cash from time to time. The Manager may utilise forward transactions and derivatives in order to hedge against price or currency fluctuations and to facilitate Efficient Portfolio Management. Non-UCITS Retail Scheme Key Investor Information Documentation (NURS KII) Subscription requirements The NURS-KII is a pre-contractual document and investors have to confirm that they have read the latest NURS-KII before making a subscription. Threadneedle has the right to reject a subscription if the investor does not confirm that they have read the latest NURS-KII at the time of application. Investors can obtain the latest NURS-KII from columbiathreadneedle.com. Changes to the directors of the Manager The following changes have been made to the directors of the Manager: Appointment of Ms. Laura Weatherup on 11 July 2016 Appointment of Mr. Dominik Kremer on 22 July 2016 Resignation of Mr. Tim Gillbanks on 31 March 2017 Increase to the Trustee s Fee From 1 June 2016, the fee payable to the Trustee was increased from 0.008% to 0.01% per annum. This was agreed as a result of additional services to be performed by the Trustee. Changes to the Prospectus There have been no changes made to the prospectus during the period from 2 June 2016 to 1 June Changes to the Trust Deed There have been no changes made to the trust deeds during the period from 2 June 2016 to 1 June Key Risks Investment Risk: The value of investments can fall as well as rise and investors might not get back the sum originally invested. Investment in Funds Risk: The Investment Policy allows the trust to invest principally in units of other collective investment schemes. Investors should consider the investment policy and asset composition in the underlying trusts when assessing their portfolio exposure. Derivatives for EPM/Hedging Risk: The investment policy of the trust allows it to invest in derivatives for the purposes of reducing risk or minimising the cost of transactions. Volatility Risk: The trust may exhibit significant price volatility. Effect of Dual Pricing Risk: The trust is dual priced and there is a difference between the buying price and the selling price of units. Further risks applicable to the trust can be found in the Prospectus. Risk and Reward Profile As at 1 June 2017 the figure for the risk and reward profile disclosed in the most recent NURS-KII representing this trust is 4. The trust is in this specific category because historically it has shown a medium level of volatility (how much the value of the trust went up and down compared to other categories). It is based on past performance data in pound sterling. If your investment in the trust is not in pound sterling, please check the figure for the risk and reward profile disclosed on our website (columbiathreadneedle.com) according to the currency of your investment in the trust.
5 General Information The information in this report is designed to enable unitholders to make an informed judgement on the activities of the trust during the period it covers and the results of those activities at the end of the period. For further information, please contact Threadneedle Investment Services Limited. The Long Form Report and Financial Statements is available free of charge on request from the Manager and on our website. For more information about the activities and performance of the trust during the period and previous periods, please contact the Manager at the administration address noted below, or visit our website at columbiathreadneedle.com. Contacts: Manager and Alternative Investment Fund Manager (AIFM) Threadneedle Investment Services Limited (Authorised and Regulated by the Financial Conduct Authority (FCA)) Registered Office Cannon Place 78 Cannon Street London EC4N 6AG Client Services Details Address: Threadneedle Investment Services Limited PO Box 10033, Chelmsford, Essex CM99 2AL Telephone UK Investors: (dealing & customer enquiries): * Telephone non-uk Residents: (dealing & customer enquiries): * Fax UK Investors (dealing): Fax non-uk Investors (dealing): (enquiries): Registrar Threadneedle Investment Services Limited Delegated to: International Financial Data Services (UK) Limited (Authorised and regulated by the FCA) St Nicholas Lane Basildon Essex SS15 5FS Directors of the Manager K Cates (non-executive) T Gillbanks (Resigned from the Board on 31 March 2017) D Jordison D Kremer (Appointed to the Board on 22 July 2016) A Roughead (non-executive) L Weatherup (Appointed to the Board on 11 July 2016) Investment Manager Threadneedle Asset Management Limited (Authorised and regulated by the FCA) Registered Office Cannon Place 78 Cannon Street London EC4N 6AG * Calls will be recorded. Trustee Citibank Europe plc, UK Branch (Authorised by the Prudential Regulatory Authority (PRA) and regulated by the FCA and PRA) Head Office and Registered Office Citigroup Centre Canada Square Canary Wharf London E14 5LB Legal Advisers Eversheds LLP One Wood Street London EC2V 7WS Independent Auditor PricewaterhouseCoopers LLP Atria One 144 Morrison Street Edinburgh EH3 8EX
6 To find out more visit columbiathreadneedle.com Threadneedle Investment Services Limited, ISA Manager, Authorised Corporate Director and Unit Trust Manager. Registered No Registered in England and Wales. Registered Office: Cannon Place, 78 Cannon Street, London EC4N 6AG. Authorised and regulated by the Financial Conduct Authority. Columbia Threadneedle Investments is the global brand name of the Columbia and Threadneedle group of companies. columbiathreadneedle.com
Threadneedle Navigator Growth Trust
Annual Short Report 1 June 2017 Fund Manager s Report Alex Lyle Performance Over the twelve months to 1 June 2017, the UK equity market, as measured by the FTSE All-Share Index (Total Return), rose by
More informationThreadneedle Navigator UK Index Tracker Trust
Annual Short Report 1 June 2017 Fund Manager s Report Alex Lyle Performance Over the twelve months to 1 June 2017, the UK equity market, as measured by the FTSE All-Share Index rose by +24.52% on a total
More informationThreadneedle Navigator Cautious Managed Trust
Interim Short Report 1 December 2017 Fund Manager s Report Alex Lyle Performance During the period under review the offer price of accumulation units fell by -1.67% from 119.80p to 117.80p. In view of
More informationThreadneedle Navigator Growth Managed Trust
Interim Short Report 1 December 2017 Fund Manager s Report Alex Lyle Performance During the period under review the offer price of accumulation units fell by -0.72% from 153.10p to 152.00p. In view of
More informationThreadneedle Dynamic Real Return Fund
Interim Short Report 25 November 2017 Fund Manager s Report Toby Nangle Performance of Class 2 Income shares* Over the six months to 25 November 2017, the published of the Threadneedle Dynamic Real Return
More informationThreadneedle UK Property Authorised Investment Fund
Annual Short Report 15 May 2017 Fund Manager s Report Don Jordison Property Market Commentary We believe that the UK commercial property market has weathered the impact of the referendum result rather
More informationThreadneedle Managed Bond Focused Fund
Interim Short Report 15 November 2018 Fund Manager s Report Alex Lyle Fund Performance During the period under review the offer price of Class A units fell by 2.06% from 116.40p to 114.00p and the offer
More informationThreadneedle Managed Equity Fund
Interim Short Report 15 November 2018 Fund Managers Report Mark Burgess Alex Lyle Fund Performance During the period under review the offer price of Class A units fell by 5.16% from 205.30p to 194.70p
More informationPORTFOLIO ADVANTAGE FUNDS ICVC
UNAUDITED INTERIM REPORT AND FINANCIAL STATEMENTS THREADNEEDLE PORTFOLIO ADVANTAGE FUNDS ICVC JUNE 2016 THREADNEEDLE PORTFOLIO ADVANTAGE FUNDS ICVC COLUMBIATHREADNEEDLE.COM Contents Company Information...
More informationThreadneedle Managed Bond Fund
Interim Short Report 15 November 2018 Fund Manager s Report Alex Lyle Fund Performance During the period under review the offer price of Class A units fell by 0.82% from 99.45p to 98.63p and the offer
More informationThreadneedle Managed Equity & Bond Fund
Interim Short Report 15 November 2018 Fund Managers Report Mark Burgess Alex Lyle Fund Performance During the period under review the offer price of Class A units fell by 2.98% from 157.90p to 153.20p
More informationThreadneedle Navigator Income Trust
Interim Short Report 1 December 2017 Fund Manager s Report Alasdair Ross Performance Over the six months to 1 December 2017, the iboxx Sterling Non-Gilt Index produced a total return of -0.59%. The offer
More informationThreadneedle UK Property Authorised Investment Fund
Interim Short Report 15 November 2017 Fund Managers Report Don Jordison Gerry Frewin Review This report covers the period from 16 May 2017 to 15 November 2017. Property Market Commentary The UK property
More informationThreadneedle UK Property Authorised Investment Fund
Annual Short Report 15 May 2018 Fund Manager s Report Gerry Frewin Property Market Commentary In 2017, the UK economy continued to defy the dire economic predictions widely associated with a leave outcome.
More informationThreadneedle Global Bond Fund
Annual Short Report 7 March 2017 Fund Managers Report Dave Chappell Adrian Hilton Performance of Income Class 1 Shares* Over the twelve months to 7 March 2017, the published share price of the Threadneedle
More informationThreadneedle American Fund
Annual Short Report 7 March 2018 Fund Manager s Report Nadia Grant Performance of Class 1 Accumulation shares* Over the twelve months to 7 March 2018, the published share price of Class 1 Accumulation
More informationThreadneedle American Smaller Companies Fund (US)
Interim Short Report 7 September 2017 Fund Manager s Report Nicolas Janvier Performance of Class 1 Accumulation shares* Over the six months to 7 September 2017, the published share price of the Threadneedle
More informationThreadneedle UK Institutional Fund
Annual Short Report 7 March 2018 Fund Managers Report Chris Kinder Jeremy Smith Performance of Class 1 Accumulation shares* Over the twelve months to 7 March 2018, the published share price of Class 1
More informationThreadneedle UK Mid 250 Fund
Interim Short Report 31 October 2017 Fund Managers Report James Thorne Philip Macartney Performance of Class 1 Accumulation shares* Over the six months to 31 October 2017, the published share price of
More informationThreadneedle UK Smaller Companies Fund
Annual Short Report 7 March 2018 Fund Manager s Report James Thorne Performance of Class 1 Income shares* Over the twelve months to 7 March 2018, the published share price of Class 1 Income shares in the
More informationThreadneedle UK Select Fund
Interim Short Report 7 September 2017 Fund Manager s Report Mark Westwood Performance of Class 1 Income shares* Over the six months to 7 September 2017, the published of the Threadneedle UK Select Fund
More informationTHREADNEEDLE MANAGED EQUITY INCOME FUND
INTERIM REPORT AND UNAUDITED FINANCIAL STATEMENTS THREADNEEDLE MANAGED EQUITY INCOME FUND AUGUST 2017 THREADNEEDLE MANAGED EQUITY INCOME FUND COLUMBIATHREADNEEDLE.COM Contents Introduction... 2 Directors
More informationThreadneedle European Smaller Companies Fund
Annual Short Report 7 March 2018 Fund Manager s Report Mark Heslop Performance of Class 1 Accumulation shares* Over the twelve months to 7 March 2018, the published of Class 1 Accumulation shares in the
More informationThreadneedle UK Monthly Income Fund
Annual Short Report 7 March 2018 Fund Manager s Report Jonathan Barber Performance of Class 1 Income shares* Over the twelve months to 7 March 2018, the published share price of Class 1 Income shares in
More informationThreadneedle UK Equity Income Fund
Interim Short Report 7 September 2017 Fund Manager s Report Richard Colwell Performance of Class 1 Income shares* Over the six months to 7 September 2017, the published of the Threadneedle UK Equity Income
More informationThreadneedle UK Extended Alpha Fund
Interim Short Report 31 October 2017 Fund Manager s Report Chris Kinder Performance of Class 1 Accumulation shares* Over the six months to 31 October 2017, the published share price of Class 1 Accumulation
More informationThreadneedle European Select Fund
Annual Short Report 7 March 2018 Fund Managers Report David Dudding Mark Nichols Performance of Class 1 Accumulation shares* Over the twelve months to 7 March 2018, the published share price of Class 1
More informationThreadneedle High Yield Bond Fund
Annual Short Report 7 March 2018 Fund Managers Report Barrie Whitman David Backhouse Performance of Class 1 Income shares* Over the twelve months to 7 March 2018, the published of Class 1 Income shares
More informationThreadneedle Global Extended Alpha Fund
Annual Short Report 30 April 2017 Fund Managers Report Neil Robson Ashish Kochar Performance of Accumulation Class 1 Shares* Over the twelve months to 30 April 2017, the published of Class 1 shares in
More informationThreadneedle UK Equity Income Fund
Annual Short Report 7 March 2018 Fund Manager s Report Richard Colwell Performance of Class 1 Income shares* Over the twelve months to 7 March 2018, the published of Class 1 Income shares in the Threadneedle
More informationThreadneedle Global Equity Income Fund
Interim Short Report 31 October 2018 Fund Manager s Report Jonathan Crown Performance of Class 1 Income shares* Over the six months to 31 October 2018, the published share price of Class 1 Income shares
More informationThreadneedle Sterling Fund
Interim Short Report 7 September 2018 Fund Manager s Report Paul Witchalls Performance of Class 1 Income shares* Over the six months to 7 September 2018, the published share price of the has risen from
More informationTHREADNEEDLE MANAGED FUNDS
INTERIM REPORT AND UNAUDITED FINANCIAL STATEMENTS THREADNEEDLE MANAGED FUNDS NOVEMBER 2017 THREADNEEDLE MANAGED FUNDS COLUMBIATHREADNEEDLE.COM Contents Introduction 2 Threadneedle Managed Equity Fund 3
More informationThreadneedle Asia Fund
Annual Short Report 7 March 2018 Fund Manager s Report Vanessa Donegan Performance of Class 1 Accumulation shares* Over the twelve months to 7 March 2018, the published share price of Class 1 Accumulation
More informationThreadneedle Absolute Return Bond Fund
Annual Short Report 30 April 2018 Fund Manager s Report Adrian Hilton Performance of Class 1 Accumulation shares* Over the twelve months to 30 April 2018, the published share price of Class 1 accumulation
More informationThreadneedle Global Emerging Markets Equity Fund
Annual Short Report 30 April 2018 Fund Manager s Report Ilan Furman Performance of Class 1 Accumulation shares* Over the twelve months to 30 April 2018, the published share price of Class 1 accumulation
More informationThreadneedle American Fund
Interim Short Report 7 September 2018 Fund Manager s Report Nadia Grant Performance of Class 1 Accumulation shares* Over the six months to 7 September 2018, the published of the has risen from 282.61p
More informationThreadneedle Sterling Fund
Annual Short Report 7 March 2018 Fund Manager s Report Paul Witchalls Performance of Class 1 Income shares* Over the twelve months to 7 March 2018, the published share price of Class 1 Income shares in
More informationThreadneedle Latin America Fund
Annual Short Report 7 March 2018 Fund Manager s Report Ilan Furman Performance of Class 1 Accumulation shares* Over the twelve months to 7 March 2018, the published share price of Class 1 Accumulation
More informationThreadneedle Emerging Market Local Fund
Interim Short Report 31 October 2017 Fund Manager s Report Henry Stipp Performance of Class 1 Income shares* Over the six months to 31 October 2017, the published share price of Class 1 Income shares in
More informationThreadneedle Emerging Market Bond Fund
Annual Short Report 7 March 2018 Fund Manager s Report Henry Stipp Performance of Class 1 Income shares* Over the twelve months to 7 March 2018, the published share price of Class 1 Income shares in the
More informationThreadneedle European Bond Fund
Annual Short Report 7 March 2018 Fund Manager s Report Adrian Hilton Performance of Class 1 Income shares* Over the twelve months to 7 March 2018, the published share price of Class 1 Income shares in
More informationThreadneedle Absolute Return Bond Fund
Interim Short Report 31 October 2018 Fund Manager s Report Adrian Hilton Performance of Class 1 Accumulation shares* Over the six months to 31 October 2018, the published share price of Class 1 Accumulation
More informationThreadneedle Global Select Fund
Interim Short Report 7 September 2018 Fund Manager s Report William Davies Performance of Class 1 Accumulation shares* Over the six months to 7 September 2018, the published of the has risen from 213.58p
More informationThreadneedle European Corporate Bond Fund
Annual Short Report 7 March 2018 Fund Manager s Report Alasdair Ross Performance of Class 1 Accumulation shares* Over the twelve months to 7 March 2018, the published share price of Class 1 Accumulation
More informationThreadneedle European Bond Fund
Interim Short Report 7 September 2018 Fund Manager s Report Adrian Hilton Performance of Class 1 Income shares* Over the six months to 7 September 2018, the published share price of the has fallen from
More informationINDEX LINKED GILTS UNIT TRUST
INDEX LINKED GILTS UNIT TRUST FOR THE YEAR ENDED 31 MARCH 2014 Manager St. James's Place Unit Trust Group Limited PO Box 9034, Chelmsford, CM99 2XA United Kingdom Freephone: 0800 027 1031 (Authorised and
More informationINDEX LINKED GILTS UNIT TRUST
INDEX LINKED GILTS UNIT TRUST FOR THE PERIOD ENDED 30 SEPTEMBER 2012 Manager St. James's Place Unit Trust Group Limited P.O. Box 9034, Chelmsford, CM99 2XA United Kingdom Freephone: 0800 027 1031 (Authorised
More informationLegal & General Multi-Asset Target Return Fund Annual Manager s Short Report for the year ended 14 April Distribution Number 3
Legal & General Multi-Asset Target Return Fund Annual Manager s Short Report for the year ended 14 April 2018 Distribution Number 3 Investment Objective and Policy The Fund aims to provide long-term growth
More informationGILTS UNIT TRUST FOR THE PERIOD ENDING 30 SEPTEMBER 2016
GILTS UNIT TRUST FOR THE PERIOD ENDING 30 SEPTEMBER 2016 Manager St. James's Place Unit Trust Group Limited PO Box 9034, Chelmsford, CM99 2XA United Kingdom Freephone: 0800 027 1031 (Authorised and regulated
More informationINDEX LINKED GILTS UNIT TRUST
INDEX LINKED GILTS UNIT TRUST FOR THE PERIOD ENDING 30 SEPTEMBER 2016 Manager St. James's Place Unit Trust Group Limited PO Box 9034, Chelmsford, CM99 2XA United Kingdom Freephone: 0800 027 1031 (Authorised
More informationGILTS UNIT TRUST FOR THE YEAR ENDING 31 MARCH 2015
GILTS UNIT TRUST FOR THE YEAR ENDING 31 MARCH 2015 Manager St. James's Place Unit Trust Group Limited PO Box 9034, Chelmsford, CM99 2XA United Kingdom Freephone: 0800 027 1031 (Authorised and regulated
More informationThreadneedle Credit Opportunities Fund
Annual Short Report 21 January 2018 Fund Manager s Report Barrie Whitman Performance of Class 1 Gross Accumulation shares Over the twelve months to 21 January 2018, the published share price of the Threadneedle
More informationAberdeen Diversified Growth Fund
Aberdeen Diversified Growth Fund Annual short report for the year ended 31 October 2016 Investment objective and policy To achieve long term total return with lower volatility than equities. Note: The
More informationThe Virgin Stakeholder Pension Scheme. Final Report and Financial Statements For the year ended 15 December 2017
The Virgin Stakeholder Pension Scheme Final Report and Financial Statements For the year ended 15 December 2017 Contents Manager s Report Page Management and professional services 1 Manager s investment
More informationAberdeen Multi-Asset Growth 2 Portfolio
Aberdeen Multi-Asset Growth 2 Portfolio Annual short report for the year ended 31 October 2016 Investment objective and policy To achieve long term total return. The Portfolio aims to achieve long term
More informationInterim Report & Financial Statements. FP Frontier ICVC. For the six months ended 30 November 2018 (unaudited)
Interim Report & Financial Statements FP Frontier ICVC For the six months ended 30 November 2018 (unaudited) contents FP Frontier ICVC Page Authorised Corporate Director s ( ACD ) Report* 3 Certification
More informationHIGH OCTANE UNIT TRUST
HIGH OCTANE UNIT TRUST FOR THE PERIOD ENDED 30 SEPTEMBER 2015 Manager St. James's Place Unit Trust Group Limited PO Box 9034, Chelmsford, CM99 2XA United Kingdom Freephone: 0800 027 1031 (Authorised and
More informationINTERIM SHORT REPORT. Henderson Institutional Emerging Markets Fund. For the six months ended 30 April 2015
INTERIM SHORT REPORT For the six months ended 30 April 2015 Henderson Institutional Emerging Markets Fund Henderson Institutional Emerging Markets Fund Short Report For the six months ended 30 April 2015
More informationIndex LInked GILts UnIt trust
Index Linked Gilts UNIT TRUST FOR THE YEAR ENDED 31 MARCH 2017 Manager St. James's Place Unit Trust Group Limited PO Box 9034, Chelmsford, CM99 2XA United Kingdom Freephone: 0800 027 1031 (Authorised and
More informationTHREADNEEDLE NAVIGATOR TRUSTS
ANNUAL REPORT AND AUDITED FINANCIAL STATEMENTS THREADNEEDLE NAVIGATOR TRUSTS JUNE 2018 THREADNEEDLE NAVIGATOR TRUSTS COLUMBIATHREADNEEDLE.COM Contents Introduction 2 Threadneedle Navigator UK Index Tracker
More informationSchroder MM International Fund. Interim Short Report 29 February 2016 to 31 August 2016
Schroder MM International Fund Interim Short Report 29 February 2016 to 31 August 2016 Review of Investment Activities From 26 February 2016 to 31 August 2016, the price of A Accumulation units on a dealing
More information(Authorised and regulated by the Financial Conduct Authority) (Authorised and regulated by the Financial Conduct Authority)
Equity Income UNIT TRUST FOR THE PERIOD ENDING 31 MARCH 2017 Manager St. James's Place Unit Trust Group Limited PO Box 9034, Chelmsford, CM99 2XA United Kingdom Freephone: 0800 027 1031 (Authorised and
More informationThe Virgin Bond, Gilt and UK Share Fund. Interim Report and Financial Statements For the six month period ended 31 January 2018 (unaudited)
The Virgin Bond, Gilt and UK Share Fund Interim Report and Financial Statements Contents Page Manager s report Management and professional services 1 Manager s investment report 2 Net asset value and operating
More informationJPM Strategic Bond Fund
Fund Annual Short Form Report 31 January Changes to the Registrar With effect from 7 December the ACD delegated registrar services for the Company to International Financial Data Services (UK) Limited
More informationAberdeen Foundation Growth Fund
Aberdeen Foundation Growth Fund Interim short report for the period ended 30 June 2016 Investment objective and policy The Fund aims to achieve long term capital growth and to produce a return that, before
More informationLegal & General UK Alpha Trust Annual Manager s Short Report for the year ended 18 June Distribution Number 24
Legal & General UK Alpha Trust Annual Manager s Short Report for the year ended 18 June 2017 Distribution Number 24 Investment Objective and Policy The investment objective of this Trust is to secure
More informationGrowth Trust. Manager s Half-Year Short Report 2013
Growth Trust Manager s Half-Year Short Report 2013 Manager s report Trust Review This is the half-year report of the Wesleyan Growth Trust covering the six months from 1 July to 31 December 2013. It was
More informationFP Verbatim Portfolio 5 Growth Fund
FP Verbatim Portfolio 5 Growth Fund Short Report for the year ended 31 December 2015 Investment Objective and Policy The Fund will use a broadly cautious balanced strategy with the aim of achieving capital
More information(Authorised and regulated by the Financial Conduct Authority) (Authorised and regulated by the Financial Conduct Authority)
Gilts UNIT TRUST FOR THE YEAR ENDED 31 MARCH 2017 Manager St. James's Place Unit Trust Group Limited PO Box 9034, Chelmsford, CM99 2XA United Kingdom Freephone: 0800 027 1031 (Authorised and regulated
More informationDistribution Number 9
Distribution Number 9 Legal & General Emerging Markets Government Bond (Local Currency) Index Fund Annual Manager s Short Report for the year ended 20 April 2018 Investment Objective and Policy The objective
More informationSchroder MM Diversity Income Fund. Interim Short Report 29 February 2016 to 31 August 2016
Schroder MM Diversity Income Fund Interim Short Report 29 February 2016 to 31 August 2016 Schroder MM Diversity Income Fund Review of Investment Activities From 26 February 2016 to 31 August 2016, the
More informationSchroder Strategic Bond Fund. Interim Short Report 16 June 2016 to 15 December 2016
Schroder Strategic Bond Fund Interim Short Report 16 June 2016 to 15 December 2016 Review of Investment Activities From 15 June 2016 to 15 December 2016, the price of Z Accumulation units on a dealing
More informationAberdeen Asia Pacific Equity Enhanced Index Fund
Aberdeen Asia Pacific Equity Enhanced Index Fund Interim short report for the period ended 30 June 2016 Investment objective and policy The Fund aims to achieve long-term capital growth by investing in
More informationTHREADNEEDLE MANAGED EQUITY INCOME FUND
ANNUAL REPORT AND AUDITED FINANCIAL STATEMENTS THREADNEEDLE MANAGED EQUITY INCOME FUND FEBRUARY 2018 THREADNEEDLE MANAGED EQUITY INCOME FUND COLUMBIATHREADNEEDLE.COM Contents Introduction... 2 Directors
More informationSchroder Unit Trusts Limited Prospectus
Schroder Unit Trusts Limited Prospectus (Intermediary) 4 December 2017 Schroder Unit Trusts Limited (Intermediary) Prospectus 4 December 2017 Schroder Unit Trusts Limited Internet Site: http://www.schroders.co.uk
More informationWESLEYAN CASH FUND FINAL SHORT REPORT FOR THE YEAR ENDED 30 JUNE 2016
WESLEYAN CASH FUND FINAL SHORT REPORT FOR THE YEAR ENDED 30 JUNE 2016 Manager s Report August 2016 2 Cash Fund Manager s report MANAGER S REPORT Fund Review It should be noted that the Wesleyan Cash Fund
More informationFP Brompton Global Income Fund
FP Brompton Global Income Fund Short Report for the year ended 31 July 2016 Investment Objective and Policy To achieve an income with potential for some capital growth by investing in markets in both the
More informationLegal & General Asian Income Trust Annual Manager s Short Report for the year ended 10 September Distribution Number 34
Legal & General Asian Income Trust Annual Manager s Short Report for the year ended 10 September 2017 Distribution Number 34 Investment Objective and Policy The investment objective is to generate income
More informationWESLEYAN INTERNATIONAL TRUST FINAL SHORT REPORT FOR THE YEAR ENDED 31 MARCH 2016
WESLEYAN INTERNATIONAL TRUST FINAL SHORT REPORT FOR THE YEAR ENDED 31 MARCH 2016 Manager s Report May 2016 02 Wesleyan International Trust Manager s report MANAGER S REPORT Trust Review The offer price
More informationSchroder Asian Income Maximiser. Final Short Report 1 January 2016 to 31 December 2016
Schroder Asian Income Maximiser Final Short Report 1 January 2016 to 31 December 2016 Schroder Asian Income Maximiser Review of Investment Activities From 31 December 2015 to 30 December 2016, the price
More informationSchroder Managed Balanced Fund Interim Report and Accounts August 2018
Interim Report and Accounts August 2018 August 2018 Contents Fund Information 1 3 Investment objective and policy 3 Financial highlights 3 Fund information 3 Ongoing charges figure 4 Total purchases and
More informationDistribution Number 10
Distribution Number 10 Legal & General Emerging Markets Government Bond (US$) Index Fund Annual Manager s Short Report for the year ended 10 November 2017 Investment Objective and Policy The objective
More informationLegal & General Multi Manager Income Trust Annual Manager s Short Report for the year ended 15 January Distribution Number 35
Legal & General Multi Manager Income Trust Annual Manager s Short Report for the year ended 15 January 2017 Distribution Number 35 Investment Objective and Policy The investment objective is to achieve
More informationThe All-In-1 Investment Bond and Guaranteed Capital Bond. Investment Report 2016
The All-In-1 Investment Bond and Guaranteed Capital Bond Investment Report 2016 The All-In-1 Investment Bond and Guaranteed Capital Bond Investment Report 2016 This information does not constitute investment
More informationSchroder Multi-Manager Cautious Managed Fund. Interim Short Report 1 October 2013 to 31 March 2014
Schroder Multi-Manager Cautious Managed Fund Interim Short Report 1 October 2013 to 31 March 2014 Schroder Multi-Manager Cautious Managed Fund Review of Investment Activities From 30 September 2013 to
More informationMorgan Stanley Funds (UK)
Morgan Stanley Funds (UK) Short Report 30 September 2016 Morgan Stanley Funds (UK) 30 September 2016 1 This document is a short report of for the period ended 30 September 2016. More information about
More informationStandard Life Investments Ignis American Growth Fund. Standard Life Investments Ignis Balanced Growth Fund
Prospectus Omnibus prospectus for the following funds Standard Life Investments Ignis American Growth Fund Standard Life Investments Ignis Balanced Growth Fund Standard Life Investments Ignis European
More informationPeriod End Date for Distribution:
Legal & General European Trust Interim Manager s Short Report for the period ended 28 January 2017 Investment Objective and Policy The investment objective of the Trust is to secure capital growth from
More informationFOCUS INVESTMENT FUNDS ICVC
ANNUAL REPORT AND AUDITED FINANCIAL STATEMENTS THREADNEEDLE FOCUS INVESTMENT FUNDS ICVC JANUARY 2018 THREADNEEDLE FOCUS INVESTMENT FUNDS ICVC COLUMBIATHREADNEEDLE.COM Contents Company Information*... 2
More informationFlexible Guarantee Bond, Flexible Guarantee Bond Series 2, Flexi Guarantee Plan and Flexible Guarantee Funds. Investment Report 2016
Flexible Guarantee Bond, Flexible Guarantee Bond Series 2, Flexi Guarantee Plan and Flexible Guarantee Funds Investment Report 2016 Flexible Guarantee Bond, Flexible Guarantee Bond Series 2, Flexi Guarantee
More informationTHREADNEEDLE INVESTMENT FUNDS ICVC
ANNUAL REPORT AND AUDITED FINANCIAL STATEMENTS THREADNEEDLE INVESTMENT FUNDS ICVC MARCH 2018 THREADNEEDLE INVESTMENT FUNDS ICVC COLUMBIATHREADNEEDLE.COM Contents Company Information*... 3 Authorised Corporate
More informationPORTFOLIO ADVANTAGE FUNDS ICVC
AUDITED ANNUAL REPORT AND FINANCIAL STATEMENTS THREADNEEDLE PORTFOLIO ADVANTAGE FUNDS ICVC DECEMBER 2015 THREADNEEDLE PORTFOLIO ADVANTAGE FUNDS ICVC COLUMBIATHREADNEEDLE.COM Contents Company Information*...
More informationORSO 職業退休計劃. Fidelity Advantage Portfolio Fund
ORSO 職業退休計劃 Fidelity Advantage Portfolio Fund Semi-Annual Report and Accounts For the period ended 30 June 2018 SEMI-ANNUAL REPORT AND ACCOUNTS - FOR THE PERIOD ENDED 30TH JUNE 2018 Contents Pages Management
More informationSchroder Monthly High Income Fund. Interim Short Report 28 July 2015 to 27 January 2016
Schroder Monthly High Income Fund Interim Short Report 28 July 2015 to 27 January 2016 Schroder Monthly High Income Fund Review of Investment Activities From 27 July 2015 to 27 January 2015, the price
More informationLegal & General Managed Monthly Income Trust Interim Manager s Short Report for the period ended 22 August Distribution Number 156
Legal & General Managed Monthly Income Trust Interim Manager s Short Report for the period ended 22 August 2018 Distribution Number 156 Investment Objective and Policy The investment objective of this
More informationINDEX LINKED GILTS UNIT TRUST
INDEX LINKED GILTS UNIT TRUST FOR THE YEAR ENDING 31 MARCH 2016 Manager St. James's Place Unit Trust Group Limited PO Box 9034, Chelmsford, CM99 2XA United Kingdom Freephone: 0800 027 1031 (Authorised
More informationSchroder Tokyo Fund. Final Short Report 1 March 2015 to 28 February 2016
Schroder Tokyo Fund Final Short Report 1 March 2015 to 28 February 2016 Review of Investment Activities From 27 February 2015 to 26 February 2016, the price of A Accumulation units on a selling price to
More informationRNPFN Managed Growth Fund. Investment Report 2016
RNPFN Managed Growth Fund Investment Report 2016 RNPFN Managed Growth Fund Investment Report 2016 This information does not constitute investment advice and we recommend that you speak to a suitably qualified
More informationSchroder Multi-Manager High Alpha Fund. Final Short Report 16 March 2014 to 15 March 2015
Schroder Multi-Manager High Alpha Fund Final Short Report 16 March 2014 to 15 March 2015 Schroder Multi-Manager High Alpha Fund Review of Investment Activities From 14 March 2014 to 24 October 2014, the
More information