Schroder MM International Fund. Interim Short Report 29 February 2016 to 31 August 2016
|
|
- Audra Pierce
- 5 years ago
- Views:
Transcription
1 Schroder MM International Fund Interim Short Report 29 February 2016 to 31 August 2016
2 Review of Investment Activities From 26 February 2016 to 31 August 2016, the price of A Accumulation units on a dealing price to dealing price basis rose 17.67%. In comparison, the FTSE* All World ex UK Index generated a total return of 21.28% 1 in sterling terms. 1 Source: Thomson Reuters Datastream. After a poor start to 2016, stock market sentiment recovered sharply from mid February onwards, barring a bout of turbulence surrounding the UK s EU referendum and its surprise Brexit result in June. Accommodative global monetary policy kept demand for government bonds high and yields fell to new lows. Commodities also gained strongly over the period. Through much of the period, we broadened out of our value skew within equities, increasing holdings such as Artemis Global Emerging Markets Fund, BlackRock Gold and General Fund and Findlay Park Latin American Fund. After the UK referendum we took profits in some of our more domestic facing cyclical holdings in Europe in expectation of heightened uncertainty and volatility. Indeed, our commodities and emerging market funds (such as those mentioned above) were our best performing holdings over the period. Looking ahead we believe our barbell approach combining selective areas of value across equity markets on the one hand, alongside higher levels of short term liquidity/cash is currently the most prudent. The growing threat of inflation should signal an end to this bull market in the beneficiaries of deflation ( safety, quality and income). While we can become more positive for the prospects of inflation related areas, we are cognisant that sectors like materials (which typically benefit from higher inflation) are also vulnerable in an economic slowdown. Co-Fund Manager: Marcus Brookes Co-Fund Manager: Robin McDonald Co-Fund Manager: Joe Le Jéhan
3 Fund Information Interim Final Accounting dates 31 August 28 February Revenue allocation dates 31 October 30 April For the period For the year Ongoing charges figure to to A Income units 1.93% % A Accumulation units 1.93% % S Income units 1.23% % Z Income units 1.43% % Z Accumulation units 1.43% % 1 The Ongoing charges figure is annualised based on the fees incurred during the accounting period. Performance Record Net Asset Net Asset Value as at Value as at Net Asset Value Fund performance pence per unit pence per unit % change A Income units A Accumulation units S Income units Z Income units Z Accumulation units months 6 months 5 years 14.24% 17.67% 92.78% FTSE* All World ex UK Index 15.76% 21.28% 97.74% Fund Source: A Accumulation units on a dealing price to dealing price basis to Index Source: Thomson Reuters Datastream, total return in sterling terms to * FTSE International Limited ( FTSE ) FTSE. FTSE is a trade mark of London Stock Exchange plc and The Financial Times Limited and is used by FTSE International Limited under licence. All rights in the FTSE indices and/or FTSE ratings vest in FTSE and/or its licensors. Neither FTSE nor its licensors accept any liability for any errors or omissions in the FTSE indices and/or FTSE ratings or underlying data. No further distribution of FTSE Data is permitted without FTSE s express written consent.
4 Performance Record (continued) A Accumulation Unit price range A Income units units S Income units Highest Lowest Highest Lowest Highest Lowest Financial year to dealing dealing dealing dealing dealing dealing 28 February p p p p p p Financial period to 31 August Z Income units Z Accumulation units Highest Lowest Highest Lowest Financial year to dealing dealing dealing dealing 28 February p p p p Financial period to 31 August Net revenue Financial year to S Income units Z Income units 28 February pence per unit pence per unit Nil 2 Nil Financial period to 31 August Financial year to Z Accumulation units 28 February pence per unit Nil Financial period to 31 August These figures have been rounded to 4 decimal places. The A Income units class and A Accumulation units class have made no distributions to date. 1 The unit class was launched on 1 November There was no distribution as the total amount distributable was below de minimis. Please remember that past performance is not a guide to future performance and it might not be repeated. The value of investments and the revenue from them may go down as well as up and investors may not get back the amount originally invested. Because of this, you are not certain to make a profit on your investments and you may lose money.
5 Portfolio Information % of net % of net assets assets as at as at Spread of investments Asia Pacific ex Japan Equity Funds Cash Funds Emerging Markets Equity Funds European Equity Funds Global Equity Funds Japanese Equity Funds US Equity Funds US Dollar Denominated Derivatives Net other assets % of net assets as at Major holdings GAM Global Diversified Fund Institutional Accumulation Findlay Park AmericanFund USD JOHCM Global Opportunities Fund X Income 9.98 Invesco Perpetual European Equity Fund Accumulation 8.19 Man GLG Japan CoreAlpha Fund Professional D Income 8.11 TM Sanditon European Fund F Accumulation 6.91 Schroder International Selection SICAV US Dollar Liquidity Fund I Accumulation USD 6.70 Fidelity Index US Fund P Income 6.15 Hermes Asia Ex-Japan Equity Fund F Accumulation 5.14 Man GLG Japan CoreAlpha Equity Fund I H Accumulation USD 3.43 % of net assets as at Findlay Park American Fund USD GAM Global Diversified Fund Institutional Accumulation Invesco Perpetual European Equity Fund Accumulation Man GLG Japan CoreAlpha Fund Professional D Income JOHCM Global Opportunities Fund X Income 9.10 Schroder International Selection SICAV US Dollar Liquidity Fund I Accumulation USD 7.30 TM Sanditon European Fund F Accumulation 7.18 Fidelity Index US Fund P Income 6.17 Hermes Asia Ex-Japan Equity Fund F Accumulation 4.55 CF Odey Opus Fund R Income 1.85
6 Investment Objective & Policy The fund seeks to provide capital growth through investment in many geographic areas of the world and across various economic sectors. The fund will invest in a diversified portfolio of collective investment schemes and exchange traded funds which invest mainly in the shares of companies that have their registered office, or derive a significant proportion of their revenue, or are predominantly operating from, outside the UK. Although the investment policy of the fund is to invest mainly in collective investment schemes, the fund may also invest in closed ended funds, individual transferable securities, money market instruments, deposits, and cash or near cash. The fund may utilise derivatives and forward transactions for the purpose of efficient portfolio management. Risk Profile Risk and reward indicator Lower risk Potentially lower reward Higher risk Potentially higher reward The risk category was calculated using historical performance data and may not be a reliable indicator of the fund's future risk profile. The fund is in this category because it can take higher risks in search of higher rewards and its price may rise and fall accordingly. The fund s risk category is not guaranteed to remain fixed and may change over time. A fund in the lowest category does not mean a risk free investment.
7 Specific risks The fund is authorised as a non-ucits retail scheme. The investment and borrowing powers of these types of scheme are wider than those for UCITS funds whilst still aiming to provide a prudent spread of risk. The fund invests in assets which are exposed to currencies other than sterling. Exchange rates may cause the value of overseas investments and the revenue from them to rise or fall. The fund invests in emerging markets and the Far East. This involves a high degree of risk and should be seen as long term in nature. The fund may invest in unregulated collective investment schemes, which involves a higher degree of risk as they are not regulated by the Financial Conduct Authority. The funds may not be readily realisable and priced less frequently than listed shares or authorised unit trusts, and therefore price swings may be more volatile. More than 35% of the property of the fund may be invested in Government securities. The fund may invest in higher yielding bonds (non-investment grade). The risk of default is higher with non-investment grade bonds than with investment grade bonds. Higher yielding bonds may also have an increased potential to erode your capital sum than lower yielding bonds. The fund may invest in derivatives and in alternative investments (including commodities, hedge funds, real estate funds and private equity) which involves a higher degree of risk and can be more volatile. They should only be considered as a long term investment. For these reasons, the purchase of units should not normally be regarded as a short term investment.
8 Report & Accounts This document is a short report for for the period ended 31 August The long form Report & Accounts for the fund are available on our website or upon written request to Schroders, FREEPOST, RLTZ-CHSY-HBUT, PO Box 1102, Chelmsford, Essex CM99 2XX. Other Information The information contained in this report is designed to enable unitholders to make an informed judgement on the activities of the fund during the period it covers and the results of those activities at the end of the period. For more information about the activities and performance of the fund during this and previous periods, please contact the Manager. The Prospectus, the Key Investor Information Document and details of investment charges and costs are available on request or can be downloaded from our website Schroders is required by the European Union Savings Directive to report payments to HM Revenue and Customs that are made by the fund to investors living in other European Union member states. Please remember that past performance is not a guide to future performance and it might not be repeated. The value of investments and the revenue from them may go down as well as up and investors may not get back the amount originally invested. Because of this, you are not certain to make a profit on your investments and you may lose money. For investors security, calls to Schroder Investor Services may be recorded. Manager: Schroder Unit Trusts Limited, 31 Gresham Street, London EC2V 7QA. Authorised and regulated by the Financial Conduct Authority. Investment Adviser: Schroder Investment Management Limited, 31 Gresham Street, London EC2V 7QA. Authorised and regulated by the Financial Conduct Authority. Trustee: J.P. Morgan Europe Limited, Chaseside, Bournemouth BH7 7DA. Authorised by the Prudential Regulation Authority and regulated by the Financial Conduct Authority and Prudential Regulation Authority. Independent Auditors: PricewaterhouseCoopers LLP, Atria One, 144 Morrison Street, Edinburgh EH3 8EX. For further literature please contact Schroder Investor Services on or at investorservices@schroders.com, or visit our website at Issued in October 2016 by Schroder Unit Trusts Limited, 31 Gresham Street, London EC2V 7QA. Registered No: England. Authorised and regulated by the Financial Conduct Authority. w35659 MRMMII16
Schroder 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 Managed Wealth Portfolio. Final Short Report 1 February 2015 to 31 January 2016
Schroder Managed Wealth Portfolio Final Short Report 1 February 2015 to 31 January 2016 Schroder Managed Wealth Portfolio Review of Investment Activities From 30 January 2015 to 29 January 2016, the price
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 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 informationSchroder All Maturities Corporate Bond Fund. Final Short Report 1 November 2015 to 31 October 2016
Schroder All Maturities Corporate Bond Fund Final Short Report 1 November 2015 to 31 October 2016 Schroder All Maturities Corporate Bond Fund Review of Investment Activities From 30 October 2015 to 31
More informationSchroder Diversified Growth Fund. Interim Short Report 6 March 2016 to 5 September 2016
Schroder Diversified Growth Fund Interim Short Report 6 March 2016 to 5 September 2016 Review of Investment Activities From 4 March 2016 to 5 September 2016, the price of I Accumulation units on a dealing
More informationSchroder European Alpha Plus Fund. Interim Short Report 16 March 2016 to 15 September 2016
Schroder European Alpha Plus Fund Interim Short Report 16 March 2016 to 15 September 2016 Schroder European Alpha Plus Fund Review of Investment Activities From 15 March 2016 to 15 September 2016, the
More informationManaged Wealth Portfolio
Schroder Managed Wealth Portfolio Interim Report and Accounts July 2017 Contents Schroder Managed Wealth Portfolio Fund Information 1...............................................3 Investment objective
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 informationSchroder Tokyo Fund. Interim Short Report 29 February 2016 to 31 August 2016
Schroder Tokyo 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 Z Accumulation units on a selling price
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 informationSchroder UK Smaller Companies Fund. Final Short Report 1 June 2015 to 31 May 2016
Schroder UK Smaller Companies Fund Final Short Report 1 June 2015 to 31 May 2016 Schroder UK Smaller Companies Fund Review of Investment Activities From 29 May 2015 to 31 May 2016, the price of A Accumulation
More informationSchroder UK Alpha Plus Fund. Final Short Report 1 June 2015 to 31 May 2016
Schroder UK Alpha Plus Fund Final Short Report 1 June 2015 to 31 May 2016 Review of Investment Activities From 29 May 2015 to 31 May 2016, the price of A Accumulation units on selling price to selling
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 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 informationInstitutional Growth Fund
Schroder Institutional Growth Fund Interim Report and Accounts December 2017 Contents Schroder Institutional Growth Fund Fund Information 1...............................................3 Investment objective
More informationSchroder European Smaller Companies Fund. Final Short Report 1 December 2015 to 30 November 2016
Schroder European Smaller Companies Fund Final Short Report 1 December 2015 to 30 November 2016 Schroder European Smaller Companies Fund Review of Investment Activities From 30 November 2015 to 30 November
More informationSchroder UK Mid 250 Fund. Interim Short Report 1 August 2015 to 31 January 2016
Schroder UK Mid 250 Fund Interim Short Report 1 August 2015 to 31 January 2016 Review of Investment Activities From 31 July 2015 to 29 January 2016, the price of A Accumulation units on a selling price
More informationMM International Fund
Schroder MM International Fund Final Report and Accounts February 2017 Contents Schroder MM International Fund Fund Information 1...............................................3 Investment objective and
More informationSchroder Small Cap Discovery Fund. Interim Short Report 16 April 2016 to 15 October 2016
Schroder Small Cap Discovery Fund Interim Short Report 16 April 2016 to 15 October 2016 Schroder Small Cap Discovery Fund Review of Investment Activities From 15 April 2016 to 14 October 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 informationSchroder QEP Global Active Value Fund. Interim Short Report 21 June 2016 to 20 December 2016
Schroder QEP Global Active Value Fund Interim Short Report 21 June 2016 to 20 December 2016 Schroder QEP Global Active Value Fund Review of Investment Activities From 20 June 2016 to 20 December 2016,
More informationThe Charity Multi-Asset Fund. Interim Report and Accounts September 2017
Interim Report and Accounts September 2017 Contents The Charity Multi-Asset Fund Fund Information 1...............................................3 Investment objective and policy......................................3
More informationSchroder. MM Diversity Fund. Final Report and Accounts February 2017
Schroder MM Diversity Fund Final Report and Accounts February 2017 Contents Schroder MM Diversity Fund Fund Information 1...............................................3 Investment objective and policy......................................3
More informationAdvanced Beta Global Sovereign Bond Fund
Schroder Advanced Beta Global Sovereign Bond Fund Interim Report and Accounts February 2018 Contents Schroder Advanced Beta Global Sovereign Bond Fund Fund Information 1...............................................3
More informationSchroder Global Asset Allocation Fund. Interim Report & Accounts May 2011
Schroder Global Asset Allocation Fund Interim Report & Accounts May 2011 Fund Information 1 Investment Objective and Policy The fund s investment objective is to provide capital appreciation through active
More informationSchroder. UK Mid 250 Fund. Interim Report and Accounts January 2018
Schroder UK Mid 250 Fund Interim Report and Accounts January 2018 Contents Schroder UK Mid 250 Fund Fund Information 1...............................................3 Investment objective and policy......................................3
More informationMM Diversity Tactical Fund
Schroder MM Diversity Tactical Fund Final Report and Accounts February 2018 Contents Schroder MM Diversity Tactical Fund Fund Information 1...............................................3 Investment objective
More informationSchroder Dynamic Multi Asset Fund Interim Report and Accounts April 2018
Schroder Dynamic Multi Asset Fund Interim Report and Accounts April 2018 Schroder Dynamic Multi Asset Fund April 2018 Contents Fund Information 1 3 Investment objective and policy 3 Financial highlights
More informationSchroder. Asian Income Fund. Interim Report and Accounts July 2017
Schroder Asian Income Fund Interim Report and Accounts July 2017 Contents Schroder Asian Income Fund Fund Information 1...............................................3 Investment objective and policy......................................3
More informationGlobal Equity Income Fund
Schroder Global Equity Income Fund Interim Report and Accounts January 2018 Contents Schroder Global Equity Income Fund Fund Information 1...............................................3 Investment objective
More informationSchroder Asian Income Fund Interim Report and Accounts July 2018
Schroder Asian Income Fund Interim Report and Accounts July 2018 Schroder Asian Income Fund July 2018 Contents Fund Information 1 3 Investment objective and policy 3 Financial highlights 3 Fund information
More informationThe Charity Multi-Asset Fund. Final Report & Accounts March 2011
The Charity Multi-Asset Fund Final Report & Accounts March 2011 Fund Information 1 Investment Objective and Policy aims to at least maintain the real value of capital whilst generating a sustainable and
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 informationSchroder. Prime UK Equity Fund. Final Report and Accounts September 2017
Schroder Prime UK Equity Fund Final Report and Accounts September 2017 Contents Schroder Prime UK Equity Fund Fund Information 1...............................................3 Investment objective and
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 informationPrudential Investment Plan
Prudential Investment Plan Fund Guide Contents Funds that are open to new and existing investors 4 Information to read before making a decision 7 Funds that are only available to existing investors 10
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 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 informationMM Managed Portfolio Fund
Schroder MM Managed Portfolio Fund Proposal for the Scheme of Arrangement for the merger of the Schroder MM Managed Portfolio Fund into the Schroder MM Diversity Balanced Fund This document is important
More informationThreadneedle Navigator Growth Managed Trust
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 125.90p to 153.10p. In view
More informationMulti-Manager Strategic Balance Fund
Schroder Multi-Manager Strategic Balance Fund Proposal for the Scheme of Arrangement for the merger of the Schroder Multi-Manager Strategic Balanced Fund into the Schroder MM Diversity Balanced Fund This
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 informationOptimum Investment Management Enterprise Fund
Optimum Investment Management Enterprise Fund Annual Short Report For the year ended 30 November 2015 Optimum Investment management Enterprise Fund Short Report For the year ended 30 November 2015 Fund
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 informationSchroders Investment Trust ISA
June 2012 Key Features of the Schroders Investment Trust ISA The Financial Services Authority is the independent financial services regulator. It requires us, Schroders, to give you this important information
More informationElite Balanced Trust. Short Report for the year ended 31 May Investment Objective and Policy. Risk Profile. Fund Facts
Elite Balanced Trust Short Report for the year ended 31 May 2016 Investment Objective and Policy The objective of the Fund is to provide a total positive return above the IMA Mixed Investment 40%-85% Shares
More informationLegal & General Multi Manager Growth Trust. Annual Manager s Short Report for the year ended 15 January Distribution Number 6
Legal & General Multi Manager Growth Trust Annual Manager s Short Report for the year ended 15 January 2011 Distribution Number 6 Investment Objective and Policy The investment objective is to provide
More informationLegal & General Multi Manager Balanced Trust. Annual Manager s Short Report for the year ended 15 January Distribution Number 6
Legal & General Multi Manager Balanced Trust Annual Manager s Short Report for the year ended 15 January 2011 Distribution Number 6 Investment Objective and Policy The investment objective is to achieve
More informationSimplified Prospectus
Schroders Simplified Prospectus July 2011 This document contains important information to help you decide whether our Unit Trust Funds are right for you. You should read this document carefully so that
More informationFund guide. Flexible Retirement Plan (Personal Pension and Income Drawdown with SIPP Options) Flexible Investment Plan
A Fund guide Flexible Retirement Plan (Personal Pension and Income Drawdown with SIPP Options) Flexible Investment Plan Introduction to this guide We know that choosing which fund may be best for you
More informationSchroder. Income Maximiser. Final Report and Accounts August 2017
Schroder Income Maximiser Final Report and Accounts August 2017 Contents Schroder Income Maximiser Fund Information 1...............................................3 Investment objective and policy......................................3
More informationFund Guide. Prudential Investment Plan
Fund Guide Prudential Investment Plan Contents 04 Funds that are open to new and existing investors 07 Information to read before making a decision 10 Funds that are only available to existing investors
More informationThreadneedle 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 informationShort report For the year ended 31 Dec 2016
Short report For the year ended 31 Dec 2016 Architas MA Active Intermediate Income Fund For the year ended 31 Dec 2016 Investment objective The aim of the Fund is for you to receive an above average level
More informationAVIVA INVESTORS PORTFOLIO FUNDS ICVC
AVIVA INVESTORS PORTFOLIO FUNDS ICVC SHORT REPORT For the year ended 28 February 2015 Contents Aviva Investors Multi-Manager Flexible Fund 2 Aviva Investors Multi-Manager 40-85% Shares Fund 8 Aviva Investors
More informationManaged Balanced Fund
Schroder Managed Balanced Fund Final Report and Accounts February 2018 Contents Schroder Managed Balanced Fund Fund Information 1...............................................3 Investment objective and
More informationAsset allocation achieving the right mix
Asset allocation achieving the right mix Learning outcomes The objective of the presentation is to help develop your understanding of: The benefits and drawbacks of a range of asset allocation styles The
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 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 informationInvestor s Guide Clerical Medical Group Pension Funds
Investor s Guide Clerical Medical Group Pension Funds Contents Introduction Clerical Medical lifestyle investment programmes Clerical Medical unit-linked group pension funds: Funds managed by a subsidiary
More informationThe Charity Fixed Interest Fund
Schroders The Charity Fixed Interest Fund Proposal for the Scheme of Arrangement for the merger of The Charity Fixed Interest Fund into The Income Trust For Charities This document is important and requires
More informationMI Momentum Investment Funds
MI Momentum Investment Funds Interim Report 31 December 2016 MI Momentum Investment Funds Contents Page Directory..................................................................1 Basis of Accounting.........................................................2
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 informationBNY MELLON LONG-TERM GLOBAL EQUITY FUND
Key Investor Information This document provides you with key investor information about this Fund. It is not marketing material. The information is required by law to help you understand the nature and
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 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 informationDistribution Number 13. Legal & General Multi Manager Income Trust Interim Manager s Report for the period ended 15 July 2011 (Unaudited)
Distribution Number 13 Legal & General Multi Manager Income Trust Interim Manager s Report for the period ended 15 July 2011 (Unaudited) Contents Page Number Manager s Investment Report 2 Authorised Status
More informationDistribution Number 7. Legal & General Multi Manager Growth Trust Interim Manager s Report for the period ended 15 July 2011 (Unaudited)
Distribution Number 7 Legal & General Multi Manager Growth Trust Interim Manager s Report for the period ended 15 July 2011 (Unaudited) Contents Page Number Manager s Investment Report 2 Authorised Status
More informationFP Thoroughbred Core Alpha Fund
FP Thoroughbred Core Alpha Fund Short Report for the six months ended 31 January 2016 Investment Objective and Policy The Fund aims to achieve long-term capital growth by the active management of a global
More informationInvestor s Guide Clerical Medical Pension Funds
Investor s Guide Clerical Medical Pension Funds Contents Introduction 1 Clerical Medical funds managed by Aberdeen Standard Investments 2 Clerical Medical funds managed by other fund managers 3 Pension
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 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 informationFUND CHOICE AND FUND CHARGES
FUND CHOICE AND FUND CHARGES PENSIONS Pension products which have a standard Annual Management Charge of 1% for most of our funds (please see note 9). (Stakeholder Pension charges are not included in this
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 informationJPM Global High Yield 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 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 informationMarketing material. A guide to multi-manager investing
Marketing material A guide to multi-manager investing What is multi-manager investing? Multi-manager funds invest in a selection of individual funds to form a complete portfolio in one package. They re
More informationKey Investor Information. Aberdeen Asia Pacific A Acc (ISIN GB00B0XWNF82) Aberdeen Asia Pacific A Inc (ISIN GB00B1F7XT29) Risk and reward profile
Page 1 of 2. Key Investor Information This document provides you with key investor information about this fund. It is not marketing material. The information is required by law to help you understand the
More informationInvestment Report. Corporate Investment Proposition Passive Plus Funds Report. Standard Life
Investment Report Standard Life Corporate Investment Proposition Q3 2016 Corporate Investment Proposition 1 Our Corporate Investment Proposition is made up of a family of carefully constructed risk-based
More informationProposal for the scheme of arrangement for the merger of Schroder Pacific Fund with Schroder Asian Alpha Plus Fund
Schroder Pacific fund Proposal for the scheme of arrangement for the merger of Schroder Pacific Fund with Schroder Asian Alpha Plus Fund This document is important and requires your immediate attention
More informationFund Choice (Series 1)
For financial adviser use only. Not to be used with customers. Fund Choice (Series 1) May 2017 edition Available on Deferred Annuity Plans, standalone Trustee Plans and all SIPP contracts sold before May
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 information(Non-UCITS Retail) Schroder Unit Trusts Limited Prospectus 3 May 2018
(Non-UCITS Retail) Schroder Unit Trusts Limited Prospectus 3 May 2018 Schroder Unit Trusts Limited (Non-UCITS Retail) Prospectus 3 May 2018 Schroder Unit Trusts Limited Internet Site: http://www.schroders.co.uk
More informationPrudence Bond Prudence Managed Investment Bond
Prudence Bond Prudence Managed Investment Bond Fund Guide Introduction to this guide We know that choosing which fund may be best for you isn t easy there are many options and everyone's different so
More informationFlexible Investment Plan
Flexible Investment Plan Short Fund Guide Introduction This short fund guide gives you a list of funds you can choose from, an indication of the potential reward and risk of each fund and information on
More informationFUND CHOICE AND FUND CHARGES
FUND CHOICE AND FUND CHARGES PENSIONS Pension products which have a standard Annual Management Charge of 1% for most of our funds (please see note 9). (Stakeholder Pension charges are not included in this
More informationSmith & Williamson Managed Portfolio Service factsheets
Smith & Williamson Managed Portfolio Service factsheets Defensive Income (OE) Portfolio Profile 31 August 2017 For professional advisers only - Not for use by or distribution to retail clients. Portfolio
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 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 informationWAY Global Momentum Fund
WAY Global Momentum Fund Short Report for the six months ended 31 August 2015 Investment Objective and Policy The objective of the Fund is to achieve long-term capital growth. The Fund aims to achieve
More informationRETIREMENT ACCOUNT SCOTTISH WIDOWS PENSION FUND CHARGES
RETIREMENT ACCOUNT SCOTTISH WIDOWS PENSION FUND CHARGES SCOTTISH WIDOWS PENSION FUNDS FUND CHOICE AND FUND CHARGES Scottish Widows Funds, managed by a subsidiary of Aberdeen Standard s Scottish Widows
More informationPensions INDIVIDUAL PERSONAL PENSION FUND GUIDE
Pensions INDIVIDUAL PERSONAL PENSION FUND GUIDE Contents What is an Individual Personal Pension? 2 The funds in detail 3 The risks associated with different investments 4 What are the specific risks associated
More informationDEFENSIVE MODEL PORTFOLIO
DEFENSIVE OBJECTIVE This portfolio is designed for investors who are only prepared to accept very limited risk to capital from investing in financial markets and are therefore more willing to accept a
More informationSchroder Unit Trusts Limited. Prospectus. (relating to the Schroder Multi-Manager Funds) 12 March United Kingdom
Schroder Unit Trusts Limited Prospectus (relating to the Schroder Multi-Manager Funds) 12 March 2018 United Kingdom Schroder Unit Trusts Limited (relating to the Schroder Multi-Manager Funds) Prospectus
More informationAdvanced Beta UK Equity Fund
Schroder Advanced Beta UK Equity Fund Interim Report and Accounts December 2017 Contents Schroder Advanced Beta UK Equity Fund Fund Information 1...............................................3 Investment
More informationMM Navigator Return Focused Range MM Lifestyle Risk Targeted Range
CM15588 UK For professional investors only MM Navigator Return Focused Range MM Lifestyle Risk Targeted Range July 2018 Investment risks The value of investments and income derived from them can go down
More informationFP Matterley Regular High Income Fund
FP Matterley Regular High Income Fund Short Report for the six months ended 31 July 2016 Investment Objective and Policy The investment objective of the FP Matterley Regular High Income Fund is to generate
More informationRETIREMENT ACCOUNT WEALTH MANAGEMENT. Scottish Widows Pension Fund Charges
RETIREMENT ACCOUNT WEALTH MANAGEMENT Scottish Widows Pension Fund Charges SCOTTISH WIDOWS PENSION FUNDS FUND CHOICE AND FUND CHARGES Scottish Widows Funds, managed by a subsidiary of Aberdeen Standard
More information