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Absolute Insight Credit Fund Expand Collapse

Share class Fund base Sedol code ISIN code NAV/Price NAV price currency Yield % Date of last price Literature
Class B1p2 Euro GBP B3T4GV6 IE00B3T4GV62 123.5500 EUR 0.00 21/05/2019 Expand + Collapse
Fund literature Download
Prospectus
Fund supplement
Interim report and accounts
Annual report and accounts
Key investor information document
Class B2p2 Euro GBP B55HC93 IE00B55HC938 124.7100 EUR 0.00 21/05/2019 Expand + Collapse
Fund literature Download
Prospectus
Fund supplement
Interim report and accounts
Annual report and accounts
Key investor information document

Absolute Insight Currency Fund Expand Collapse

Share class Fund base Sedol code ISIN code NAV/Price NAV price currency Yield % Date of last price Literature
Class B1p Euro GBP B1HL905 IE00B1HL9055 94.1400 EUR 0.00 22/05/2019 Expand + Collapse
Fund literature Download
Prospectus
Fund supplement
Interim report and accounts
Annual report and accounts
Key investor information document

Absolute Insight Emerging Market Debt Fund Expand Collapse

Share class Fund base Sedol code ISIN code NAV/Price NAV price currency Yield % Date of last price Literature
Class B1p Euro USD B1HL8W0 IE00B1HL8W03 133.2300 EUR 0.00 22/05/2019 Expand + Collapse
Fund literature Download
Prospectus
Fund supplement
Interim report and accounts
Annual report and accounts
Key investor information document
Class B2p Euro USD B2QV6L3 IE00B2QV6L30 107.6700 EUR 0.00 22/05/2019 Expand + Collapse
Fund literature Download
Prospectus
Fund supplement
Interim report and accounts
Annual report and accounts
Key investor information document

Insight Broad Opportunities Fund Expand Collapse

Share class Fund base Sedol code ISIN code NAV/Price NAV price currency Yield % Date of last price Literature
Class B1 Euro GBP B74XF97 IE00B74XF970 122.8700 EUR 0.00 22/05/2019 Expand + Collapse
Fund literature Download
Prospectus
Fund supplement
Interim report and accounts
Annual report and accounts
Key investor information document

Insight Sustainable Euro Corporate Bond Fund Expand Collapse

Share class Fund base Sedol code ISIN code NAV/Price NAV price currency Yield % Date of last price Literature
Class A Euro Accumulation EUR BGFB991 IE00BGFB9913 117.0700 EUR 0.00 21/05/2019 Expand + Collapse
Fund literature Download
Prospectus
Country supplement
Interim report and accounts
Annual report and accounts
Prospectus addendum
Key investor information document
Class S Euro Accumulation EUR BGFB9B3 IE00BGFB9B33 119.1500 EUR 0.00 21/05/2019 Expand + Collapse
Fund literature Download
Prospectus
Country supplement
Interim report and accounts
Annual report and accounts
Prospectus addendum
Key investor information document

Please refer to Insight’s Remuneration Disclosure policy in relation to UCITS V.

*Please read important information about Insight's data collection policies HERE before sharing your personal information with us on email.