Managed Wealth Portfolio

Size: px
Start display at page:

Download "Managed Wealth Portfolio"

Transcription

1 Schroder Managed Wealth Portfolio Interim Report and Accounts July 2017

2 Contents Schroder Managed Wealth Portfolio Fund Information Investment objective and policy Financial highlights Fund information Ongoing charges figure Total purchases and sales Review of Investment Activities Risk Profile Risk and reward indicator Specific risks Net Asset Value and Comparative Tables Unit price range Net revenue Net asset value Fund performance Portfolio Statement Summary of Portfolio Transactions Largest purchases Largest sales Statement of the Manager s Responsibilities Statement of Total Return (unaudited) Statement of Change in Net Assets Attributable to Unitholders (unaudited) Balance Sheet (unaudited) Notes to the Accounts (unaudited) Basis of preparation Accounting policies General Information Authorisation Other information Collectively these comprise the Manager s report.

3 Fund Information Investment objective and policy The Schroder Managed Wealth Portfolio (the fund ) aims to provide capital growth and income by investing in equity and equity related securities, fixed and floating rate securities and alternative assets worldwide. The fund aims to achieve a return in excess of cash over the long term (with an emphasis on managing risk) but this cannot be guaranteed and your capital is at risk. The fund invests at least 80% of its assets (directly (or indirectly) through collective investment schemes, exchange traded funds, real estate investment trusts or closed ended funds) in equity and equity related securities, fixed and floating rate securities and alternative assets worldwide. As the fund is index unconstrained it is managed without reference to an index. The fund may invest indirectly through collective investment schemes, exchange traded funds, real estate investment trusts or closed ended funds in alternative assets including hedge funds strategies, property, private equity and commodities. The fund seeks to generate sustainable returns over the long-term by blending a diversified range of assets, managers and strategies. The fund may invest up to 100% of its assets in collective investment schemes managed by the Manager or an associate of the Manager. The fund may also invest in warrants and money market instruments, and hold cash. The fund may use derivatives with the aim of achieving investment gains, reducing risk or managing the fund more efficiently. With effect from 5 April 2017 the fund s Investment objective and policy changed, previously it was: The fund s investment objective is to provide a total return primarily through investment in collective investment schemes as well as directly held transferable securities, derivatives, cash, deposits, warrants and money market instruments. The fund may also gain exposure to alternatives including hedge funds, private equity and property through investment in transferable securities which themselves invest in these asset classes. 3

4 Fund Information (continued) Financial highlights Selling price % change A Income units p p 3.28 A Accumulation units p p 3.42 S Income units 59.73p 58.17p 2.68 S Accumulation units 61.51p 59.21p 3.88 Z Income units 67.65p 65.80p 2.81 Z Accumulation units 70.19p 67.63p 3.79 Fund information Launch date 20 August 1990 Launch price 50.00p per A Income unit 50.00p per A Accumulation unit Launch date 13 August 2012 Launch price 50.00p per Z Income unit 50.00p per Z Accumulation unit Launch date 14 November 2014 Launch price 50.00p per S Income unit 50.00p per S Accumulation unit Interim Final Accounting dates 31 July 31 January Revenue allocation date 31 March Ongoing charges figure For the period For the year to to A Income units 1.89% % A Accumulation units 1.89% % S Income units 0.89% % S Accumulation units 0.89% % Z Income units 1.14% % Z Accumulation units 1.14% % 1 The Ongoing charges figure is annualised based on the fees incurred during the accounting period. 4

5 Fund Information (continued) Total purchases and sales For the period For the year to to s 000 s Total purchases 137,005 75,413 Total sales 89,290 31,396 5

6 Review of Investment Activities From 31 January 2017 to 31 July 2017, the price of Z Accumulation units on a selling price to selling price basis rose 3.79%. In comparison, the FTSE 1 All Share Index, the MSCI World Index in sterling terms, the FTSE 1 British Government Fixed All Stocks Index and the UK Interbank Seven Day Index generated total returns of 7.09% 2, 5.93% 2, 2.40% 2 and 0.12% 2 respectively. There have been two prominent global market factors over the six month period. The first is that equity markets remain high. The second is that equity market volatility has been extremely low. We continue to steer a fairly steady path, mindful of the potential risks ahead. A more defensive outlook has been reflected in several equity transactions. In North America, we switched the Vanguard S&P 500 UCITS ETF into our preferred active manager, Findlay Park American Fund. Similarly, the UBS MSCI Japan ETF, which was purchased in March, was sold in late June in favour of the unhedged Man GLG Japan CoreAlpha Equity Fund. Our UK equity funds collectively have lagged the FTSE All Share Index which rose higher. Aberforth Smaller Companies Trust has been the best performer which was added to in April. We remain positive on the alternative investment vehicles and participated in three infrastructure capital raises during the period. We have, however, been taking profits from some of the listed investment companies on premiums, notably the private equity given we are now late cycle. A stand out performer over the period was Syncona, representing a 2% position within the portfolio. Syncona is transitioning from a fund of funds to a life sciences portfolio. A new addition to the fund is the Aberdeen Diversified Income and Growth Trust. The investment company offers genuine diversification across a range of alternative real assets with an attractive dividend yield. There has been little change to our fixed income positioning with the asset class continuing to look overvalued. Treasury 0.125% Index Linked Stock 2029 was sold in June. Fund Manager: Charles Armstrong Charles Armstrong joined Cazenove Capital in 2001 having started his career with Buchler Phillips, Corporate Recovery & Restructuring specialists He is a Portfolio Director with responsibility for managing UK private client portfolios, private OEIC s and inflation plus mandates which also includes the Schroder Managed Wealth Portfolio Fund He is a member of the Asset Allocation Committee, Stock Selection Committee and the Private Equity Committee Charles is a Fellow of the Chartered Institute for Securities & Investment and has 16 years investment experience 1 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. 2 Source: Thomson Reuters Datastream. 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. 6

7 Risk Profile Risk and reward indicator The risk category is based upon the fund s risk target and there is no guarantee that the fund will achieve it. 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. Specific risks 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 less developed markets which are generally less well regulated than the UK. They may be less liquid and may have less reliable custody arrangements. 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 is index unconstrained and has the potential for greater volatility. 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 (FCA). 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. The fund invests 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 a wide range of derivatives in order to meet its investment objectives and for leverage. The use of leverage can increase gains as well as losses and expose the fund to increased risk. The fund may invest in derivatives and in alternative investments (including commodities, hedge funds, property 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. 7

8 Net Asset Value and Comparative Tables Financial year to 31 January A Income units A Accumulation units Unit price range Highest Lowest Highest Lowest buying selling buying selling p p p p Financial period to 31 July Financial year to 31 January S Income units S Accumulation units Highest Lowest Highest Lowest buying selling buying selling p p p p Financial period to 31 July Financial year to 31 January Z Income units Z Accumulation units Highest Lowest Highest Lowest buying selling buying selling p p p p Financial period to 31 July Net revenue A Income units A Accumulation units Financial year to 31 January pence per unit pence per unit Nil Nil Financial period to 31 July 2017 Nil Nil S Income units S Accumulation units Financial year to 31 January pence per unit pence per unit 2015 Nil Financial period to 31 July 2017 Nil Nil 8

9 Net Asset Value and Comparative Tables (continued) Z Income units Z Accumulation units Financial year to 31 January pence per unit pence per unit Financial period to 31 July 2017 Nil Nil 1 There was no distribution as the total amount distributable was below de minimis. Net asset value Net asset Net asset value value per unit Number of As at 31 January 000 s p units in issue 2015 A Income units 17, ,197,049 A Accumulation units 26, ,015,973 S Income units ,000 S Accumulation units ,014,215 Z Income units 10, ,033,513 Z Accumulation units 7, ,258, A Income units 5, ,258,614 A Accumulation units 20, ,981,343 S Income units 17, ,134,582 S Accumulation units 7, ,107,273 Z Income units 1, ,564,284 Z Accumulation units 6, ,987, A Income units 4, ,444,296 A Accumulation units 20, ,977,922 S Income units 24, ,311,532 S Accumulation units 21, ,205,880 Z Income units 9, ,397,594 Z Accumulation units 35, ,886, at 31 July A Income units 4, ,288,279 A Accumulation units 21, ,778,111 S Income units 35, ,341,054 S Accumulation units 44, ,346,629 Z Income units 12, ,119,825 Z Accumulation units 49, ,496,548 9

10 Net Asset Value and Comparative Tables (continued) Fund performance Net asset Net asset value per unit value per unit p p as at as at % change A Income units A Accumulation units S Income units S Accumulation units Z Income units Z Accumulation units 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. 10

11 Portfolio Statement Bermuda 2.26% ( %) Holding at Market Value % of net s assets Blue Capital Alternative Income Fund USD 3,143,051 2, Catco Reinsurance Opportunities Fund USD 1,309,162 1, , Guernsey 7.23% ( %) HICL Infrastructure 3,116,000 4, International Public Partnerships 1,215,103 1, John Laing Infrastructure Fund 1,240,391 1, NB Private Equity Partners USD 113,446 1, Riverstone Energy 174,063 2, , Ireland 16.02% ( %) BlackRock Institutional Sterling Liquidity Fund Heritage Distribution 1 999,888 1, CG Portfolio Dollar Fund D Income 22,201 3, ishares Physical Gold ETC USD 103,420 1, Majedie Tortoise Fund Z Income 4,751,053 5, Man GLG Japan CoreAlpha Equity Fund I Accumulation 19,513 3, Ocean Dial Gateway to India Fund G Income 26,910 3, Polar Capital Global Insurance Fund E Distribution 861,329 4, SPDR Barclays U.S. TIPS UCITS ETF USD 168,022 3, , Jersey 0.00% ( %) Luxembourg 2.98% ( %) BlackRock Global Asian Dragon Fund D4RF Income 1 81,803 2,

12 Portfolio Statement (continued) Luxembourg (continued) Holding at Market Value % of net s assets Schroder International Selection SICAV Asian Total Return Fund S Distribution 1 2 7,045 2, , United Kingdom 56.18% ( %) Aberdeen Diversified Income and Growth Trust 2,755,565 3, Aberforth Smaller Companies Trust 59, CF Ruffer Total Return Fund I Income 1 715,373 2, Civitas Social Housing 2,000,000 2, Fidelity Institutional Emerging Markets Fund W Accumulation 1 1,521,412 2, Ground Rents Income Fund 3,480,000 4, HgCapital Trust 176,587 2, Impact Healthcare Reit 2,607,000 2, Jupiter European Special Situations Fund I Income 1 588,127 2, Majedie UK Equity Fund X Income 1 3,770,591 5, Pantheon International 30, PCGH ZDP 5,000,000 5, Polar Capital Global Healthcare Trust 1,578,349 3, Residential Secure Income 3,035,668 3, RIT Capital Partners 96,160 1, S&W Kennox Strategic Value Fund A Income 1 3,900,586 5, Schroder European Alpha Income Fund Z Income GBP Hedged 1 2 2,011,562 4, Schroder Private Equity Fund of Funds B Accumulation EUR 2 1,697,177 2, Schroder QEP Global Core Fund I Income ,148 2, Schroder Strategic Credit Fund S Income ,642,308 11, Schroder UK Dynamic Absolute Return Fund P2 Accumulation 1 2 2,727,497 4, Syncona 1,967,140 3, Trojan Income Fund O Income 1 2,796,788 5, Vanguard FTSE U.K. All Share Index Unit Trust Institutional Plus Income 1 108,802 12, ,

13 Portfolio Statement (continued) Holding at Market Value % of net s assets United States 4.90% ( %) Findlay Park American Fund USD 109,064 8, , Sterling Denominated Short Term Bonds 3.93% ( %) Treasury 0% Bill ,300,000 2, Treasury 0% Bill ,000,000 2, Treasury 0% Bill ,300,000 2, , Sterling Denominated Medium Term Bonds 2.48% ( %) Treasury 0.125% Index Linked Stock ,216,040 4, , Portfolio of investments 161, Net other assets 6, Net assets attributable to unitholders 167, Asset class Bonds 10, Equities 54, Funds 95, Total portfolio of investments 161, Unless otherwise stated the above securities are admitted to official stock exchange listings or traded on a regulated market, or are collective investment schemes permitted under the FCA s COLL. 1 Collective investment scheme permitted under the FCA s COLL, not listed on any exchange. 2 A related party to the fund. 13

14 Summary of Portfolio Transactions Largest purchases Largest sales For the period ended 31 July 2017 Cost 000 s Vanguard FTSE U.K. All Share Index Unit Trust Institutional Plus Accumulation 10,638 BlackRock Institutional Sterling Liquidity Fund Heritage Distribution 9,700 HICL Infrastructure 5,684 Schroder Strategic Credit Fund S Income 1 5,221 PCGH ZDP 5,000 Ground Rents Income Fund 4,747 Findlay Park American Fund USD 4,608 Schroder European Alpha Income Fund Z Income GBP Hedged 1 3,963 Man GLG Japan CoreAlpha Equity Fund I Accumulation 3,809 Aberdeen Diversified Income and Growth Trust 3,215 For the period ended 31 July 2017 Proceeds 000 s BlackRock Institutional Sterling Liquidity Fund Heritage Distribution 16,416 JOHCM UK Opportunities Fund A Distribution 5,346 Treasury 0.125% Index Linked Stock ,178 Schroder QEP Global Core Fund I Income 1 3,554 Man GLG Japan CoreAlpha Equity Fund I H Distribution 2,863 HICL Infrastructure 2,535 Vanguard FTSE U.K. All Share Index Unit Trust Institutional Plus Income 2,530 Treasury 0% Bill ,500 Vanguard S&P 500 UCITS ETF 2,408 Trojan Fund O Accumulation 2,354 1 A related party to the fund. 14

15 Statement of the Manager s Responsibilities The FCA s COLL requires the Manager to prepare accounts for each annual and half yearly accounting period, in accordance with United Kingdom Generally Accepted Accounting Practice, which give a true and fair view of the financial position of the fund and of its net revenue and the net capital gains on the property of the fund for the period. In preparing the accounts the Manager is required to: select suitable accounting policies and then apply them consistently; comply with the disclosure requirements of the Statement of Recommended Practice (SORP) for UK Authorised Funds issued by the Investment Management Association (IMA (now the Investment Association (IA))) in May 2014; follow generally accepted accounting principles and applicable accounting standards; prepare the accounts on the basis that the fund will continue in operation unless it is inappropriate to do so; keep proper accounting records which enable it to demonstrate that the accounts as prepared comply with the above requirements; make judgements and estimates that are prudent and reasonable. The Manager is responsible for the management of the fund in accordance with its Trust Deed, the Prospectus and the COLL and for taking reasonable steps for the prevention and detection of fraud, error and non-compliance with law or regulations. The Manager s report and accounts for the period ended 31 July 2017 were signed on 12 September 2017 on behalf of the Manager by: J.A. Walker-Hazell Directors J.M. Cardew 15

16 Statement of Total Return (unaudited) For the six months ended 31 July s 000 s 000 s 000 s Income Net capital gains 4,469 6,682 Revenue 1, Expenses (588) (335) Net revenue before taxation Taxation (38) (42) Net revenue after taxation Total return before distributions 4,889 6,786 Distributions Change in net assets attributable to unitholders from investment activities 4,973 6,816 Statement of Change in Net Assets Attributable to Unitholders (unaudited) For the six months ended 31 July s 000 s 000 s 000 s Opening net assets attributable to unitholders 115, ,676 Amounts receivable on issue of units 51,519 23,263 Amounts payable on cancellation of units (4,323) (3,228) 47,196 20,035 Dilution adjustment Change in net assets attributable to unitholders from investment activities 4,973 6,816 Unclaimed distributions 0 1 Closing net assets attributable to unitholders 167,861 85, The Opening net assets attributable to unitholders for the current period do not equal the Closing net assets attributable to unitholders for the comparative period as they are not consecutive periods. 16

17 Balance Sheet (unaudited) As at 31 July s 000 s Assets Investments 161, ,249 Current assets Debtors Cash and bank balances 6,760 6,277 Total assets 168, ,465 Liabilities Provisions for liabilities (349) (317) Creditors Distribution payable 0 (378) Other creditors (564) (214) Total liabilities (913) (909) Net assets attributable to unitholders 167, ,556 17

18 Notes to the Accounts (unaudited) Basis of preparation The accounts have been prepared under the historical cost basis, as modified by the revaluation of investments, and in accordance with the SORP for UK Authorised Funds issued by the IMA in May 2014 and in accordance with United Kingdom Generally Accepted Accounting Practice, including Financial Reporting Standard 102 (The Financial Reporting Standard Applicable in the UK and Republic of Ireland (FRS 102)). Accounting policies The accounting policies applied are consistent with those of the annual accounts for the year ended 31 January 2017 and are described in those annual accounts. 18

19 General Information Manager Schroder Unit Trusts Limited 31 Gresham Street London EC2V 7QA Authorised and regulated by the Financial Conduct Authority Registrar 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 Sub Investment Adviser Schroder & Co. Limited 31 Gresham Street London EC2V 7QA Authorised by the Prudential Regulation Authority and regulated by the Financial Conduct Authority and Prudential Regulation 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 Administration Details Schroders FREEPOST RLTZ-CHSY-HBUT PO Box 1102 Chelmsford Essex CM99 2XX Investor Services Dealing Fax Independent Auditors PricewaterhouseCoopers LLP Atria One 144 Morrison Street Edinburgh EH3 8EX Authorisation Other information The fund is an authorised unit trust and is constituted pursuant to the COLL and is structured as a trust. The fund is a UCITS scheme for the purpose of the categorisation of the COLL. 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 19

20 For further literature please contact Schroder Investor Services on or at or visit our website at Issued in September 2017 by Schroder Unit Trusts Limited, 31 Gresham Street, London EC2V 7QA. Registered No: England. Authorised and regulated by the Financial Conduct Authority. w35641

Schroder 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 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 information

Institutional Growth Fund

Institutional Growth Fund Schroder Institutional Growth Fund Interim Report and Accounts December 2017 Contents Schroder Institutional Growth Fund Fund Information 1...............................................3 Investment objective

More information

Schroder Managed Balanced Fund Interim Report and Accounts August 2018

Schroder 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 information

Schroder 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 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

The Charity Multi-Asset Fund. Interim Report and Accounts September 2017

The 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 information

Schroder 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 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 information

Advanced Beta Global Sovereign Bond Fund

Advanced 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 information

Schroder 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 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

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 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 information

Schroder 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 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 information

Schroder 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 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 information

Schroder 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 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 information

Schroder 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 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 information

Schroder 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 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 information

Schroder 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 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 information

Schroder 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 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 information

Schroder 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 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 information

Schroder 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 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 information

Schroder 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 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 information

Schroder 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 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 information

Schroder 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 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 information

Schroder 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 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 information

Schroder. UK Mid 250 Fund. Interim Report and Accounts January 2018

Schroder. 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 information

Schroder. Asian Income Fund. Interim Report and Accounts July 2017

Schroder. 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 information

Schroder Global Asset Allocation Fund. Interim Report & Accounts May 2011

Schroder 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 information

Schroder 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 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 information

Global Equity Income Fund

Global 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 information

Schroder. MM Diversity Fund. Final Report and Accounts February 2017

Schroder. 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 information

The Charity Multi-Asset Fund. Final Report & Accounts March 2011

The 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 information

Schroder 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 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 information

MM International Fund

MM 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 information

Schroder Asian Income Fund Interim Report and Accounts July 2018

Schroder 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 information

MM Diversity Tactical Fund

MM 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 information

Managed Balanced Fund

Managed 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 information

Schroder. Prime UK Equity Fund. Final Report and Accounts September 2017

Schroder. 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 information

Schroder. Income Maximiser. Final Report and Accounts August 2017

Schroder. 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 information

GILTS UNIT TRUST FOR THE YEAR ENDING 31 MARCH 2015

GILTS 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 information

INDEX LINKED GILTS UNIT TRUST

INDEX 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 information

INDEX LINKED GILTS UNIT TRUST

INDEX 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 information

MI Activus Wealth Funds - MI Activus Investment Fund

MI Activus Wealth Funds - MI Activus Investment Fund MI Activus Wealth Funds - MI Activus Investment Fund Interim Report 28 February 2017 Contents Page Directory................................................................. 1 Investment Objective and

More information

MI Momentum Investment Funds

MI 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 information

MI Activus Wealth Funds - MI Activus Investment Fund

MI Activus Wealth Funds - MI Activus Investment Fund MI Activus Wealth Funds - MI Activus Investment Fund Interim Report 28 February 2018 Contents Page Directory....................................................................................... 1 Investment

More information

GILTS UNIT TRUST FOR THE PERIOD ENDING 30 SEPTEMBER 2016

GILTS 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 information

Index LInked GILts UnIt trust

Index 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 information

Multi-Manager Strategic Balance Fund

Multi-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 information

SchroderUKRealEstateFundFeederTrust Report and Audited Financial Statements. FortheYearEnded 31 March 2016

SchroderUKRealEstateFundFeederTrust Report and Audited Financial Statements. FortheYearEnded 31 March 2016 SchroderUKRealEstateFundFeederTrust Report and Audited Financial Statements FortheYearEnded 31 March 2016 CONTENTS SchroderUKRealEstateFundFeederTrust Report and Audited Financial Statements for the year

More information

Report and Audited Financial Statements

Report and Audited Financial Statements For professional investors and advisers only Report and Audited Financial Statements For the Year Ended Report to Report to 1 CONTENTS 02 03 Trust Information* Report of the Authorised Fund Manager and

More information

Gilt & Fixed Interest Fund

Gilt & Fixed Interest Fund Schroder Gilt & Fixed Interest Fund Final Report and Accounts August 2017 Contents Schroder Gilt & Fixed Interest Fund Fund Information 1...............................................3 Investment objective

More information

Optimum Investment Management Enterprise Fund

Optimum 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 information

MM Managed Portfolio Fund

MM 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 information

WESLEYAN CASH FUND FINAL REPORT FOR THE YEAR ENDED 30 JUNE 2016

WESLEYAN CASH FUND FINAL REPORT FOR THE YEAR ENDED 30 JUNE 2016 WESLEYAN CASH FUND FINAL REPORT FOR THE YEAR ENDED 30 JUNE 2016 Manager s Report August 2016 2 Cash Fund Manager s report CONTENTS Manager s report*... 4 General information*... 6 Portfolio of Investments*...11

More information

The Equity Income Trust for Charities. Final Report and Accounts October 2017

The Equity Income Trust for Charities. Final Report and Accounts October 2017 Final Report and Accounts October 2017 Contents The Equity Income Trust for Charities Fund Information 1...............................................4 Investment objective and policy......................................4

More information

The 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 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 information

diversification Levels of Multi-Asset (MA) Blended Funds

diversification Levels of Multi-Asset (MA) Blended Funds diversification Levels of Multi-Asset (MA) Blended Funds LEVELS OF DIVERSIFICATION At Architas we believe that diversification is central to any investment portfolio. Being too concentrated in any one

More information

(Authorised and regulated by the Financial Conduct Authority) (Authorised and regulated by the Financial Conduct Authority)

(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 information

STANLIB Offshore Unit Trusts 2010 Unaudited Interim Report and Financial Statements (Retail Classes)

STANLIB Offshore Unit Trusts 2010 Unaudited Interim Report and Financial Statements (Retail Classes) STANLIB Offshore Unit Trusts (Retail Classes) Contents Management and administration 2 Manager s Report 3 Statement of Manager s and Trustee s responsibilities 6 Statements of Total Return and Statements

More information

Annual Report & Financial Statements. WAY MA Portfolio. For the year ended 31 March 2017

Annual Report & Financial Statements. WAY MA Portfolio. For the year ended 31 March 2017 76 93 Annual Report & Financial Statements 96 WAY MA Portfolio For the year ended 3 March 207 contents WAY MA Portfolio Page Authorised Corporate Director s ( ACD ) Report* 3 Certification of Financial

More information

Interim Report & Financial Statements. WAY Momentum Portfolio. For the six months ended 31 August 2018 (unaudited)

Interim Report & Financial Statements. WAY Momentum Portfolio. For the six months ended 31 August 2018 (unaudited) Interim Report & Financial Statements WAY Momentum Portfolio For the six months ended 31 August 2018 (unaudited) contents WAY Momentum Portfolio Page Authorised Corporate Director s ( ACD ) Report* 3 Certification

More information

BNY MELLON LONG-TERM GLOBAL EQUITY FUND

BNY 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 information

MM Navigator Return Focused Range MM Lifestyle Risk Targeted Range

MM 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 information

Investor s Guide Clerical Medical Pension Funds

Investor 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 information

Centralised Investment Proposition Model Portfolio 8 Key Investor Information / Simplified Prospectus

Centralised Investment Proposition Model Portfolio 8 Key Investor Information / Simplified Prospectus Centralised Investment Proposition Model Portfolio 8 Key Investor Information / Simplified Prospectus Portfolio Composition Company Name Fund Name % of total fund Aberdeen UK Property Feeder 5 Baillie

More information

Simplified Prospectus

Simplified 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 information

Schroder UK Real Estate Fund Interim Unaudited Consolidated Financial Statements

Schroder UK Real Estate Fund Interim Unaudited Consolidated Financial Statements 168477 Schroders SREF 2016 Interim Report Cover_168477 Schroders SREF 2016 Interim Report Cover 15/12/2016 16:22 Page 1 Schroder UK Real Estate Fund Interim Unaudited Consolidated Financial Statements

More information

Annual Report & Financial Statements. WAY Global Blue Managed Portfolio Trust. For the year ended 31 March 2018

Annual Report & Financial Statements. WAY Global Blue Managed Portfolio Trust. For the year ended 31 March 2018 76 93 Annual Report & Financial Statements 96 WAY Global Blue Managed Portfolio Trust contents WAY Global Blue Managed Portfolio Trust Page Authorised Fund Manager's ("AFM") Report* 3 Certification of

More information

Schroder Unit Trusts Limited Prospectus

Schroder 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 information

European Alpha Plus Fund

European Alpha Plus Fund Schroder European Alpha Plus Fund Final Report and Accounts March 2017 Contents Schroder European Alpha Plus Fund Fund Information 1...............................................3 Investment objective

More information

INDEX LINKED GILTS UNIT TRUST

INDEX 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 information

Schroder. Tokyo Fund. Final Report and Accounts February 2018

Schroder. Tokyo Fund. Final Report and Accounts February 2018 Schroder Tokyo Fund Final Report and Accounts February 2018 Contents Schroder Tokyo Fund Fund Information 1...............................................3 Investment objective and policy......................................3

More information

Schroder. European Fund. Final Report and Accounts January 2018

Schroder. European Fund. Final Report and Accounts January 2018 Schroder European Fund Final Report and Accounts January 2018 Contents Schroder European Fund Fund Information 1...............................................3 Investment objective and policy......................................3

More information

Prudential Investment Plan

Prudential 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 information

Asset allocation achieving the right mix

Asset 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

MI Activus Wealth Funds - MI Activus Investment Fund

MI Activus Wealth Funds - MI Activus Investment Fund MI Activus Wealth Funds - MI Activus Investment Fund Annual Report 31 August 2017 Contents Page Directory*...................................................................................... 1 Statement

More information

(Non-UCITS Retail) Schroder Unit Trusts Limited Prospectus 3 May 2018

(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 information

Advanced Beta UK Equity Fund

Advanced 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 information

UK Smaller Companies Fund

UK Smaller Companies Fund Schroder UK Smaller Companies Fund Final Report and Accounts May 2017 Contents Schroder UK Smaller Companies Fund Fund Information 1...............................................3 Investment objective

More information

(Intermediary) Schroder Unit Trusts Limited Prospectus 3 September 2018

(Intermediary) Schroder Unit Trusts Limited Prospectus 3 September 2018 (Intermediary) Schroder Unit Trusts Limited Prospectus 3 September 2018 Schroder Unit Trusts Limited (Intermediary) Prospectus 3 September 2018 Schroder Unit Trusts Limited Internet Site: http://www.schroders.co.uk

More information

HIGH OCTANE UNIT TRUST

HIGH 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 information

Elite 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 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 information

Investor s Guide Clerical Medical Group Pension Funds

Investor 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 information

Smith & Williamson Managed Portfolio Service factsheets

Smith & 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 information

Schroder 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 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 information

For professional investors and advisers only. Schroder UK Property Fund Interim Unaudited Consolidated Financial Statements.

For professional investors and advisers only. Schroder UK Property Fund Interim Unaudited Consolidated Financial Statements. For professional investors and advisers only Schroder UK Property Interim Unaudited Financial Statements 1 Schroder UK Property Interim Unaudited Financial Statements REPORT OF THE AUTHORISED CORPORATE

More information

Zurich Flexible Personal Pension (Section 61 plan) Zurich Personal Pension (89 plan)

Zurich Flexible Personal Pension (Section 61 plan) Zurich Personal Pension (89 plan) Company sponsored personal pension plans Zurich Flexible Personal Pension (Section 61 plan) Zurich Personal Pension (89 plan) Funds Guide To offer the best value for our customers, we use our global buying

More information

Which investment trusts make it into the brokers 2019 model

Which investment trusts make it into the brokers 2019 model 21 February 2019 By Fiona Hamilton Which investment trusts make it into the brokers 2019 model portfolios? Diversity rules with a mix of equity and alternative trusts in all the leading investment trust

More information

Fund Guide. Prudential Investment Plan

Fund 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 information

The 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 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 information

RETIREMENT ACCOUNT WEALTH MANAGEMENT. Scottish Widows Pension Fund Charges

RETIREMENT 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

The Charity Fixed Interest Fund

The 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 information

MI Bespoke Funds ICVC

MI Bespoke Funds ICVC MI Bespoke Funds ICVC Interim Report 30 September 2018 MI Bespoke Funds ICVC Contents Page Directory....................................................................................... 1 Basis of Accounting..............................................................................

More information

Vanguard LifeStrategy Funds ICVC

Vanguard LifeStrategy Funds ICVC Interim Report and Financial Statements For the six months ended 30 September 2017 Vanguard LifeStrategy Funds ICVC (An open-ended investment company incorporated with limited liability and registered

More information

(Authorised and regulated by the Financial Conduct Authority) (Authorised and regulated by the Financial Conduct Authority)

(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 information

Annual Report Standard Life Investments UK Real Estate Trust

Annual Report Standard Life Investments UK Real Estate Trust Annual Report Standard Life Investments UK Real Estate Trust for the half year ended 30 June 2017 (unaudited) Contents 3 Trust Information* 5 Statement of Manager s Responsibilities 6 Manager s Statement*

More information

PORTFOLIO ADVANTAGE FUNDS ICVC

PORTFOLIO 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 information

The Charity Multi-Asset Fund

The Charity Multi-Asset Fund The Charity Multi-Asset Fund Proposal for a Scheme of Arrangement for the merger of into SUTL Cazenove Charity Multi-Asset Fund This document is important and requires your immediate attention This document

More information

The Charity Equity Fund Proposal for a Scheme of Arrangement for the merger of The Charity Equity Fund into SUTL Cazenove Charity Equity Value Fund

The Charity Equity Fund Proposal for a Scheme of Arrangement for the merger of The Charity Equity Fund into SUTL Cazenove Charity Equity Value Fund The Charity Equity Fund Proposal for a Scheme of Arrangement for the merger of into SUTL Cazenove Charity Equity Value Fund This document is important and requires your immediate attention This document

More information

WAY Fund Managers Limited. WAY Global Cautious Portfolio Fund

WAY Fund Managers Limited. WAY Global Cautious Portfolio Fund Fund Partners WAY Fund Managers Limited WAY Global Cautious Portfolio Fund Interim Short Report for the period from 1 April 2013 to 30 September 2013 Interim Short Report for the period from 1 April 2013

More information

Centralised Investment Proposition Model Portfolio 6 Key Investor Information / Simplified Prospectus

Centralised Investment Proposition Model Portfolio 6 Key Investor Information / Simplified Prospectus Centralised Investment Proposition Model Portfolio 6 Key Investor Information / Simplified Prospectus Portfolio Composition Company Name Fund Name % of total fund Aberdeen UK Property 5.00 Artemis US Select

More information

MFM SGWM OEIC. Interim Reports For the six month period ended 30 th November 2014 (Unaudited)

MFM SGWM OEIC. Interim Reports For the six month period ended 30 th November 2014 (Unaudited) Interim Reports For the six month period ended 30 th November 2014 (Unaudited) Fund Details Registered Office Marlborough House 59 Chorley New Road Bolton BL1 4QP Authorised Corporate Director and Registrar

More information

Fund Choice (Series 1)

Fund 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 information