The investment objective of the Fund is to achieve capital growth over the medium to long term (five years and over).
|
|
|
The Fund will seek to achieve its objective by actively selecting and investing approximately 80% of its portfolio in a range of actively-managed OEICS, Unit Trusts, and other collective investment vehicles (exchange traded funds and which may include funds managed by the ACD or Investment Manager) providing exposure to a globally-diversified range of equities. The funds held in this part of the Fund's portfolio will be managed by a carefully selected range of active investment managers. As a global portfolio, this part of the Fund will hold sterling and non-sterling assets. The UK will generally form one of the largest single country exposures, representing up to 30% of this portion of the portfolio.
The remainder of the Fund will be invested in a combination of cash, money-market instruments and government bonds, and (particularly during the early stages of the Fund's growth) in collective investment vehicles (which may be actively or passively managed) that provide exposure (indirectly) to cash, money-market instruments and/or government bonds. There may also be incidental exposure other fixed income instruments, such as corporate bonds.
Through its investments in these funds and instruments noted above, the Fund will have a higher exposure between equities (via collective investment schemes) than the combined asset classes of cash, fixed income securities (bonds) and cash equivalents.
The Fund is actively managed.
The Fund will not have any particular geographic, industry or economic sector focus and as such weightings in these may vary as required.
Prospectus
Key Investor Information |
Class A |
(please click on the relevant share class on the right) |
Class F
|
Application Form
The latest net asset value per share is as follows:
A Accumulation |
112p |
A Income |
100p |
F Accumulation |
112p |
F Income |
100p |
|
|
Net Asset Value as at 12:00 on 15th October 2024. |
Past performance is not necessarily an indication of future results
Questions and Queries
For frequently asked questions or further information about your holdings or this fund please:
Email the Fund Team fox@valu-trac.com or call us on: 01343 880 344 and quote the fund name. |