Funds & prices
Funds
Search funds or filter by
Invalid filter date
Price date:
| Share class | Fund base | Sedol code | ISIN code | NAV (price) | NAV price currency | Yield % | Date of last price | Literature |
|---|---|---|---|---|---|---|---|---|
| Class B | GBP | B3SRNZ9 | IE00B3SRNZ97 | 13.9763 | GBP | 0.00 | 20/10/2025 |
|
|
Global supplement
PDF
(65 kb)
Incorporation documents
PDF
(570 kb)
Prospectus
PDF
(1007 kb)
Fund supplement
PDF
(136 kb)
Annual report and accounts
PDF
(4832 kb)
Factsheet
PDF
(124 kb)
|
||||||||
| Class B Euro | GBP | B8FYRB2 | IE00B8FYRB27 | 11.5424 | EUR | 0.00 | 20/10/2025 |
|
|
Global supplement
PDF
(65 kb)
Incorporation documents
PDF
(570 kb)
Prospectus
PDF
(1007 kb)
Fund supplement
PDF
(136 kb)
Annual report and accounts
PDF
(4832 kb)
Factsheet
PDF
(124 kb)
|
||||||||
| Class S | GBP | B1BMR33 | IE00B1BMR334 | 19.0100 | GBP | 0.00 | 20/10/2025 |
|
|
Global supplement
PDF
(65 kb)
Incorporation documents
PDF
(570 kb)
Prospectus
PDF
(1007 kb)
Fund supplement
PDF
(136 kb)
Annual report and accounts
PDF
(4832 kb)
Factsheet
PDF
(124 kb)
|
| Share class | Fund base | Sedol code | ISIN code | NAV (price) | NAV price currency | Yield % | Date of last price | Literature |
|---|---|---|---|---|---|---|---|---|
| Class B Euro (Accumulation) | GBP | - | IE00BF8DCN20 | 1.1151 | EUR | 0.00 | 20/10/2025 |
|
|
Global supplement
PDF
(65 kb)
Incorporation documents
PDF
(570 kb)
Prospectus
PDF
(1007 kb)
Fund supplement
PDF
(143 kb)
Annual report and accounts
PDF
(4832 kb)
Second prospectus addendum
PDF
Fund supplement addendum
PDF
Factsheet
PDF
(150 kb)
|
||||||||
| Class B GBP (Accumulation) | GBP | - | IE00BF8DCM13 | 1.2274 | GBP | 0.00 | 20/10/2025 |
|
|
Global supplement
PDF
(65 kb)
Incorporation documents
PDF
(570 kb)
Prospectus
PDF
(1007 kb)
Fund supplement
PDF
(143 kb)
Annual report and accounts
PDF
(4832 kb)
Second prospectus addendum
PDF
Fund supplement addendum
PDF
Factsheet
PDF
(150 kb)
|
||||||||
| Class B GBP (Income) | GBP | - | IE00BF8DCL06 | 0.9911 | GBP | 0.00 | 20/10/2025 |
|
|
Global supplement
PDF
(65 kb)
Incorporation documents
PDF
(570 kb)
Prospectus
PDF
(1007 kb)
Fund supplement
PDF
(143 kb)
Annual report and accounts
PDF
(4832 kb)
Second prospectus addendum
PDF
Fund supplement addendum
PDF
Factsheet
PDF
(150 kb)
|
||||||||
| Class B USD (Accumulation) | GBP | - | IE00BF8DCP44 | 1.2514 | USD | 0.00 | 20/10/2025 |
|
|
Global supplement
PDF
(65 kb)
Incorporation documents
PDF
(570 kb)
Prospectus
PDF
(1007 kb)
Fund supplement
PDF
(143 kb)
Annual report and accounts
PDF
(4832 kb)
Second prospectus addendum
PDF
Fund supplement addendum
PDF
|
||||||||
| Class S Euro (Accumulation) | GBP | - | IE00BF8DCS74 | 1.1419 | EUR | 0.00 | 20/10/2025 |
|
|
Global supplement
PDF
(65 kb)
Incorporation documents
PDF
(570 kb)
Prospectus
PDF
(1007 kb)
Fund supplement
PDF
(143 kb)
Annual report and accounts
PDF
(4832 kb)
Second prospectus addendum
PDF
Fund supplement addendum
PDF
Factsheet
PDF
(150 kb)
|
||||||||
| Class S GBP (Accumulation) | GBP | - | IE00BF8DCR67 | 1.2600 | GBP | 0.00 | 20/10/2025 |
|
|
Global supplement
PDF
(65 kb)
Incorporation documents
PDF
(570 kb)
Prospectus
PDF
(1007 kb)
Fund supplement
PDF
(143 kb)
Annual report and accounts
PDF
(4832 kb)
Second prospectus addendum
PDF
Fund supplement addendum
PDF
Factsheet
PDF
(150 kb)
|
||||||||
| Class S GBP (Income) | GBP | - | IE00BF8DCQ50 | 0.9860 | GBP | 0.00 | 20/10/2025 |
|
|
Global supplement
PDF
(65 kb)
Incorporation documents
PDF
(570 kb)
Prospectus
PDF
(1007 kb)
Fund supplement
PDF
(143 kb)
Annual report and accounts
PDF
(4832 kb)
Second prospectus addendum
PDF
Fund supplement addendum
PDF
Factsheet
PDF
(150 kb)
|
| Share class | Fund base | Sedol code | ISIN code | NAV (price) | NAV price currency | Yield % | Date of last price | Literature |
|---|---|---|---|---|---|---|---|---|
| Class B (Accumulation) | GBP | BDHSY83 | IE00BDHSY833 | 9.8403 | GBP | 0.00 | 20/10/2025 |
|
|
Factsheet
PDF
(125 kb)
Global supplement
PDF
(65 kb)
Incorporation documents
PDF
(570 kb)
Prospectus
PDF
(1007 kb)
Fund supplement
PDF
(215 kb)
Annual report and accounts
PDF
(4832 kb)
|
||||||||
| Class B (Income) | GBP | - | IE00BYQJ1164 | 6.7607 | GBP | 0.00 | 20/10/2025 |
|
|
Factsheet
PDF
(125 kb)
Global supplement
PDF
(65 kb)
Incorporation documents
PDF
(570 kb)
Prospectus
PDF
(1007 kb)
Fund supplement
PDF
(215 kb)
Annual report and accounts
PDF
(4832 kb)
|
||||||||
| Class S (Income) | GBP | - | IE00BYQJ1271 | 6.4904 | GBP | 0.00 | 20/10/2025 |
|
|
Factsheet
PDF
(125 kb)
Global supplement
PDF
(65 kb)
Incorporation documents
PDF
(570 kb)
Prospectus
PDF
(1007 kb)
Fund supplement
PDF
(215 kb)
Annual report and accounts
PDF
(4832 kb)
|
| Share class | Fund base | Sedol code | ISIN code | NAV (price) | NAV price currency | Yield % | Date of last price | Literature |
|---|---|---|---|---|---|---|---|---|
| Class B (Income) | GBP | BYT2KN7 | IE00BYT2KN70 | 0.4798 | GBP | 0.00 | 14/10/2025 |
|
|
Factsheet
PDF
(518 kb)
Global supplement
PDF
(65 kb)
Incorporation documents
PDF
(570 kb)
Prospectus
PDF
(1007 kb)
Fund supplement
PDF
(215 kb)
Annual report and accounts
PDF
(4832 kb)
|
||||||||
| Class S (Income) | GBP | BYT2KQ0 | IE00BYT2KQ02 | 0.4989 | GBP | 0.00 | 14/10/2025 |
|
|
Factsheet
PDF
(518 kb)
Global supplement
PDF
(65 kb)
Incorporation documents
PDF
(570 kb)
Prospectus
PDF
(1007 kb)
Fund supplement
PDF
(215 kb)
Annual report and accounts
PDF
(4832 kb)
|
| Share class | Fund base | Sedol code | ISIN code | NAV (price) | NAV price currency | Yield % | Date of last price | Literature |
|---|---|---|---|---|---|---|---|---|
| Class B (Income) | GBP | BYT2KS2 | IE00BYT2KS26 | 8.5945 | GBP | 0.00 | 14/10/2025 |
|
|
Factsheet
PDF
(518 kb)
Global supplement
PDF
(65 kb)
Incorporation documents
PDF
(570 kb)
Prospectus
PDF
(1007 kb)
Fund supplement
PDF
(215 kb)
Annual report and accounts
PDF
(4832 kb)
|
||||||||
| Class B Flexible Distribution | GBP | - | IE00BN0Y4L12 | 10.3162 | GBP | 0.00 | 14/10/2025 |
|
|
Factsheet
PDF
(518 kb)
Global supplement
PDF
(65 kb)
Incorporation documents
PDF
(570 kb)
Prospectus
PDF
(1007 kb)
Fund supplement
PDF
(215 kb)
Annual report and accounts
PDF
(4832 kb)
|
||||||||
| Class S (Income) | GBP | BYT2KV5 | IE00BYT2KV54 | 8.7284 | GBP | 0.00 | 14/10/2025 |
|
|
Factsheet
PDF
(518 kb)
Global supplement
PDF
(65 kb)
Incorporation documents
PDF
(570 kb)
Prospectus
PDF
(1007 kb)
Fund supplement
PDF
(215 kb)
Annual report and accounts
PDF
(4832 kb)
|
| Share class | Fund base | Sedol code | ISIN code | NAV (price) | NAV price currency | Yield % | Date of last price | Literature |
|---|---|---|---|---|---|---|---|---|
| Class B (Income) | GBP | BYT2JZ2 | IE00BYT2JZ20 | 8.0989 | GBP | 0.00 | 14/10/2025 |
|
|
Factsheet
PDF
(518 kb)
Global supplement
PDF
(65 kb)
Incorporation documents
PDF
(570 kb)
Prospectus
PDF
(1007 kb)
Fund supplement
PDF
(215 kb)
Annual report and accounts
PDF
(4832 kb)
|
||||||||
| Class S (Income) | GBP | - | IE00BYT2K044 | 8.2262 | GBP | 0.00 | 14/10/2025 |
|
|
Factsheet
PDF
(518 kb)
Global supplement
PDF
(65 kb)
Incorporation documents
PDF
(570 kb)
Prospectus
PDF
(1007 kb)
Fund supplement
PDF
(215 kb)
Annual report and accounts
PDF
(4832 kb)
|
| Share class | Fund base | Sedol code | ISIN code | NAV (price) | NAV price currency | Yield % | Date of last price | Literature |
|---|---|---|---|---|---|---|---|---|
| Class B (Income) | GBP | BYT2K26 | IE00BYT2K267 | 7.1826 | GBP | 0.00 | 14/10/2025 |
|
|
Factsheet
PDF
(518 kb)
Global supplement
PDF
(65 kb)
Incorporation documents
PDF
(570 kb)
Prospectus
PDF
(1007 kb)
Fund supplement
PDF
(215 kb)
Annual report and accounts
PDF
(4832 kb)
|
| Share class | Fund base | Sedol code | ISIN code | NAV (price) | NAV price currency | Yield % | Date of last price | Literature |
|---|---|---|---|---|---|---|---|---|
| Class B (Income) | GBP | BYT2KD7 | IE00BYT2KD72 | 7.0115 | GBP | 0.00 | 14/10/2025 |
|
|
Factsheet
PDF
(518 kb)
Global supplement
PDF
(65 kb)
Incorporation documents
PDF
(570 kb)
Prospectus
PDF
(1007 kb)
Fund supplement
PDF
(215 kb)
Annual report and accounts
PDF
(4832 kb)
|
||||||||
| Class B Flexible Distribution | GBP | - | IE00BN0Y4W27 | 9.9397 | GBP | 0.00 | 14/10/2025 |
|
|
Factsheet
PDF
(518 kb)
Global supplement
PDF
(65 kb)
Incorporation documents
PDF
(570 kb)
Prospectus
PDF
(1007 kb)
Fund supplement
PDF
(215 kb)
Annual report and accounts
PDF
(4832 kb)
|
| Share class | Fund base | Sedol code | ISIN code | NAV (price) | NAV price currency | Yield % | Date of last price | Literature |
|---|---|---|---|---|---|---|---|---|
| Class B (Income) | GBP | - | IE00BK1MB782 | 5.7415 | GBP | 0.00 | 14/10/2025 |
|
|
Factsheet
PDF
(518 kb)
Global supplement
PDF
(65 kb)
Incorporation documents
PDF
(570 kb)
Prospectus
PDF
(1007 kb)
Fund supplement
PDF
(215 kb)
Annual report and accounts
PDF
(4832 kb)
|
| Share class | Fund base | Sedol code | ISIN code | NAV (price) | NAV price currency | Yield % | Date of last price | Literature |
|---|---|---|---|---|---|---|---|---|
| Class A GBP (Accumulation) | GBP | BTGCY55 | IE00BTGCY553 | 1.6433 | GBP | 0.00 | 30/09/2025 |
|
|
Factsheet
PDF
(128 kb)
Global supplement
PDF
(65 kb)
Incorporation documents
PDF
(570 kb)
Prospectus
PDF
(1007 kb)
Fund supplement
PDF
(179 kb)
Annual report and accounts
PDF
(4832 kb)
|
||||||||
| Class A GBP (Income) | GBP | BTGCY66 | IE00BTGCY660 | 1.1018 | GBP | 0.00 | 30/09/2025 |
|
|
Factsheet
PDF
(128 kb)
Global supplement
PDF
(65 kb)
Incorporation documents
PDF
(570 kb)
Prospectus
PDF
(1007 kb)
Fund supplement
PDF
(179 kb)
Annual report and accounts
PDF
(4832 kb)
|
||||||||
| Class B Euro (Accumulation) | GBP | BTGCY99 | IE00BTGCY991 | 1.1523 | GBP | 0.00 | 29/04/2022 |
|
|
Factsheet
PDF
(128 kb)
Global supplement
PDF
(65 kb)
Incorporation documents
PDF
(570 kb)
Prospectus
PDF
(1007 kb)
Fund supplement
PDF
(179 kb)
Annual report and accounts
PDF
(4832 kb)
|
||||||||
| Class B GBP (Accumulation) | GBP | BTGCY33 | IE00BTGCY330 | 1.5280 | GBP | 0.00 | 30/09/2025 |
|
|
Factsheet
PDF
(128 kb)
Global supplement
PDF
(65 kb)
Incorporation documents
PDF
(570 kb)
Prospectus
PDF
(1007 kb)
Fund supplement
PDF
(179 kb)
Annual report and accounts
PDF
(4832 kb)
|
||||||||
| Class B GBP (Income) | GBP | BTGCY44 | IE00BTGCY447 | 1.0027 | GBP | 0.00 | 30/09/2025 |
|
|
Factsheet
PDF
(128 kb)
Global supplement
PDF
(65 kb)
Incorporation documents
PDF
(570 kb)
Prospectus
PDF
(1007 kb)
Fund supplement
PDF
(179 kb)
Annual report and accounts
PDF
(4832 kb)
|
||||||||
| Class B GBP Income Plus | GBP | - | IE000UGPC1U1 | 0.7486 | GBP | 0.00 | 30/09/2025 |
|
|
Factsheet
PDF
(128 kb)
Global supplement
PDF
(65 kb)
Incorporation documents
PDF
(570 kb)
Prospectus
PDF
(1007 kb)
Fund supplement
PDF
(179 kb)
Annual report and accounts
PDF
(4832 kb)
|
||||||||
| Class S GBP (Accumulation) | GBP | BTGCY77 | IE00BTGCY777 | 1.5290 | GBP | 0.00 | 30/09/2025 |
|
|
Factsheet
PDF
(128 kb)
Global supplement
PDF
(65 kb)
Incorporation documents
PDF
(570 kb)
Prospectus
PDF
(1007 kb)
Fund supplement
PDF
(179 kb)
Annual report and accounts
PDF
(4832 kb)
|
||||||||
| Class S GBP (Income) | GBP | BTGCY88 | IE00BTGCY884 | 0.0000 | GBP | 0.00 | 30/09/2025 |
|
|
Factsheet
PDF
(128 kb)
Global supplement
PDF
(65 kb)
Incorporation documents
PDF
(570 kb)
Prospectus
PDF
(1007 kb)
Fund supplement
PDF
(179 kb)
Annual report and accounts
PDF
(4832 kb)
|
||||||||
| Class S GBP Income Plus | GBP | - | IE000LLME8A3 | 0.8547 | GBP | 0.00 | 30/09/2025 |
|
|
Factsheet
PDF
(128 kb)
Global supplement
PDF
(65 kb)
Incorporation documents
PDF
(570 kb)
Prospectus
PDF
(1007 kb)
Fund supplement
PDF
(179 kb)
Annual report and accounts
PDF
(4832 kb)
|
| Share class | Fund base | Sedol code | ISIN code | NAV (price) | NAV price currency | Yield % | Date of last price | Literature |
|---|---|---|---|---|---|---|---|---|
| Class B (Hedged) EUR Income | GBP | - | IE00BG0W3317 | 1.0033 | EUR | 0.00 | 30/09/2025 |
|
|
Global supplement
PDF
(65 kb)
Incorporation documents
PDF
(570 kb)
Prospectus
PDF
(1007 kb)
Fund supplement
PDF
(174 kb)
Annual report and accounts
PDF
(4832 kb)
Factsheet
PDF
(128 kb)
|
||||||||
| Class B Eur (Accumulation) | GBP | - | IE00BG0W3424 | 1.2574 | EUR | 0.00 | 30/09/2025 |
|
|
Global supplement
PDF
(65 kb)
Incorporation documents
PDF
(570 kb)
Prospectus
PDF
(1007 kb)
Fund supplement
PDF
(174 kb)
Annual report and accounts
PDF
(4832 kb)
Factsheet
PDF
(128 kb)
|
||||||||
| Class B GBP (Accumulation) | GBP | - | IE00BG0W3200 | 1.3898 | GBP | 0.00 | 30/09/2025 |
|
|
Global supplement
PDF
(65 kb)
Incorporation documents
PDF
(570 kb)
Prospectus
PDF
(1007 kb)
Fund supplement
PDF
(174 kb)
Annual report and accounts
PDF
(4832 kb)
Factsheet
PDF
(128 kb)
|
||||||||
| Class B GBP (Income) | GBP | - | IE00BG0W3192 | 1.0197 | GBP | 0.00 | 30/09/2025 |
|
|
Global supplement
PDF
(65 kb)
Incorporation documents
PDF
(570 kb)
Prospectus
PDF
(1007 kb)
Fund supplement
PDF
(174 kb)
Annual report and accounts
PDF
(4832 kb)
Factsheet
PDF
(128 kb)
|
||||||||
| Class B JPY (Accumulation) | GBP | - | IE00BG0W3861 | 11,620.1357 | JPY | 0.00 | 30/09/2025 |
|
|
Global supplement
PDF
(65 kb)
Incorporation documents
PDF
(570 kb)
Prospectus
PDF
(1007 kb)
Fund supplement
PDF
(174 kb)
Annual report and accounts
PDF
(4832 kb)
Factsheet
PDF
(128 kb)
|
||||||||
| Class S GBP (Accumulaton) | GBP | - | IE00BG0W3B91 | 1.2785 | GBP | 0.00 | 30/09/2025 |
|
|
Global supplement
PDF
(65 kb)
Incorporation documents
PDF
(570 kb)
Prospectus
PDF
(1007 kb)
Fund supplement
PDF
(174 kb)
Annual report and accounts
PDF
(4832 kb)
Factsheet
PDF
(128 kb)
|
| Share class | Fund base | Sedol code | ISIN code | NAV (price) | NAV price currency | Yield % | Date of last price | Literature |
|---|---|---|---|---|---|---|---|---|
| Class A Sterling | GBP | - | IE00BG04D373 | 118.4600 | GBP (pence) | 0.00 | 22/10/2025 |
|
|
Incorporation documents
PDF
(572 kb)
Prospectus
PDF
(1004 kb)
Fund supplement
PDF
(413 kb)
Interim report and accounts
PDF
(654 kb)
Annual report and accounts
PDF
(899 kb)
Factsheet
PDF
(145 kb)
PRIIPs KID
PDF
SFDR Disclosure
PDF
(265 kb)
PRIIPS Scenario Report (KMS)
PDF
PRIIPS Past Performance Report (KPP)
PDF
|
||||||||
| Class B1 CHF | GBP | BYZZW78 | IE00BYZZW780 | 103.4400 | CHF (rappen) | 0.00 | 22/10/2025 |
|
|
Incorporation documents
PDF
(572 kb)
Prospectus
PDF
(1004 kb)
Fund supplement
PDF
(413 kb)
Interim report and accounts
PDF
(654 kb)
Annual report and accounts
PDF
(899 kb)
Factsheet
PDF
(145 kb)
PRIIPs KID
PDF
SFDR Disclosure
PDF
(265 kb)
PRIIPS Scenario Report (KMS)
PDF
PRIIPS Past Performance Report (KPP)
PDF
|
||||||||
| Class B1 Euro | GBP | B74XF97 | IE00B74XF970 | 136.6400 | EUR (cent) | 0.00 | 22/10/2025 |
|
|
Incorporation documents
PDF
(572 kb)
Prospectus
PDF
(1004 kb)
Fund supplement
PDF
(413 kb)
Interim report and accounts
PDF
(654 kb)
Annual report and accounts
PDF
(899 kb)
Factsheet
PDF
(145 kb)
PRIIPs KID
PDF
SFDR Disclosure
PDF
(265 kb)
PRIIPS Scenario Report (KMS)
PDF
PRIIPS Past Performance Report (KPP)
PDF
|
||||||||
| Class B1 Sterling | GBP | B4ZSNV8 | IE00B4ZSNV82 | 185.3200 | GBP (pence) | 0.00 | 22/10/2025 |
|
|
Incorporation documents
PDF
(572 kb)
Prospectus
PDF
(1004 kb)
Fund supplement
PDF
(413 kb)
Interim report and accounts
PDF
(654 kb)
Annual report and accounts
PDF
(899 kb)
Factsheet
PDF
(145 kb)
PRIIPs KID
PDF
SFDR Disclosure
PDF
(265 kb)
PRIIPS Scenario Report (KMS)
PDF
PRIIPS Past Performance Report (KPP)
PDF
|
||||||||
| Class B1 US Dollar | GBP | B739659 | IE00B7396591 | 130.3100 | USD (cent) | 0.00 | 22/10/2025 |
|
|
Incorporation documents
PDF
(572 kb)
Prospectus
PDF
(1004 kb)
Fund supplement
PDF
(413 kb)
Interim report and accounts
PDF
(654 kb)
Annual report and accounts
PDF
(899 kb)
Factsheet
PDF
(122 kb)
PRIIPs KID
PDF
SFDR Disclosure
PDF
(265 kb)
PRIIPS Scenario Report (KMS)
PDF
PRIIPS Past Performance Report (KPP)
PDF
|
||||||||
| Class B1 Yen | GBP | BSMSXQ4 | IE00BSMSXQ44 | 11,297.4300 | YEN | 0.00 | 22/10/2025 |
|
|
Incorporation documents
PDF
(572 kb)
Prospectus
PDF
(1004 kb)
Fund supplement
PDF
(413 kb)
Interim report and accounts
PDF
(654 kb)
Annual report and accounts
PDF
(899 kb)
Factsheet
PDF
(145 kb)
PRIIPs KID
PDF
SFDR Disclosure
PDF
(265 kb)
PRIIPS Scenario Report (KMS)
PDF
PRIIPS Past Performance Report (KPP)
PDF
|
||||||||
| Class S Sterling | GBP | B754F66 | IE00B754F662 | 172.8600 | GBP (pence) | 0.00 | 15/12/2021 |
|
|
Incorporation documents
PDF
(572 kb)
Prospectus
PDF
(1004 kb)
Fund supplement
PDF
(413 kb)
Interim report and accounts
PDF
(654 kb)
Annual report and accounts
PDF
(899 kb)
Factsheet
PDF
(145 kb)
PRIIPs KID
PDF
SFDR Disclosure
PDF
(265 kb)
PRIIPS Scenario Report (KMS)
PDF
PRIIPS Past Performance Report (KPP)
PDF
|
||||||||
| Class S US Dollar | GBP | B754F66 | IE00B754F662 | 172.8600 | USD (cent) | 0.00 | 15/12/2021 |
|
|
Incorporation documents
PDF
(572 kb)
Prospectus
PDF
(1004 kb)
Fund supplement
PDF
(413 kb)
Interim report and accounts
PDF
(654 kb)
Annual report and accounts
PDF
(899 kb)
Factsheet
PDF
(122 kb)
PRIIPs KID
PDF
SFDR Disclosure
PDF
(265 kb)
PRIIPS Scenario Report (KMS)
PDF
PRIIPS Past Performance Report (KPP)
PDF
|
| Share class | Fund base | Sedol code | ISIN code | NAV (price) | NAV price currency | Yield % | Date of last price | Literature |
|---|---|---|---|---|---|---|---|---|
| Class B Accumulation | GBP | B99L4S2 | IE00B99L4S28 | 146.3600 | GBP (pence) | 0.00 | 20/10/2025 |
|
|
Factsheet
PDF
(206 kb)
Incorporation documents
PDF
(443 kb)
Prospectus
PDF
(868 kb)
Fund supplement
PDF
(175 kb)
Country supplement
PDF
(63 kb)
Interim report and accounts
PDF
(2156 kb)
Annual report and accounts
PDF
(2734 kb)
PRIIPs KID
PDF
PRIIPS Scenario Report (KMS)
PDF
PRIIPS Past Performance Report (KPP)
PDF
|
||||||||
| Class B Income | GBP | B8FY284 | IE00B8FY2845 | 91.0700 | GBP (pence) | 0.00 | 20/10/2025 |
|
|
Factsheet
PDF
(206 kb)
Incorporation documents
PDF
(443 kb)
Prospectus
PDF
(868 kb)
Fund supplement
PDF
(175 kb)
Country supplement
PDF
(63 kb)
Interim report and accounts
PDF
(2156 kb)
Annual report and accounts
PDF
(2734 kb)
PRIIPs KID
PDF
PRIIPS Scenario Report (KMS)
PDF
PRIIPS Past Performance Report (KPP)
PDF
|
||||||||
| Class S Accumulation | GBP | B9BBKB5 | IE00B9BBKB57 | 149.0600 | GBP (pence) | 0.00 | 20/10/2025 |
|
|
Factsheet
PDF
(206 kb)
Incorporation documents
PDF
(443 kb)
Prospectus
PDF
(868 kb)
Fund supplement
PDF
(175 kb)
Country supplement
PDF
(63 kb)
Interim report and accounts
PDF
(2156 kb)
Annual report and accounts
PDF
(2734 kb)
PRIIPs KID
PDF
PRIIPS Scenario Report (KMS)
PDF
PRIIPS Past Performance Report (KPP)
PDF
|
||||||||
| Class S Income | GBP | B91WTT9 | IE00B91WTT98 | 95.1500 | GBP (pence) | 0.00 | 20/10/2025 |
|
|
Factsheet
PDF
(206 kb)
Incorporation documents
PDF
(443 kb)
Prospectus
PDF
(868 kb)
Fund supplement
PDF
(175 kb)
Country supplement
PDF
(63 kb)
Interim report and accounts
PDF
(2156 kb)
Annual report and accounts
PDF
(2734 kb)
PRIIPs KID
PDF
PRIIPS Scenario Report (KMS)
PDF
PRIIPS Past Performance Report (KPP)
PDF
|
| Share class | Fund base | Sedol code | ISIN code | NAV (price) | NAV price currency | Yield % | Date of last price | Literature |
|---|---|---|---|---|---|---|---|---|
| Class A | GBP | B5VGGD6 | IE00B5VGGD64 | 154.1000 | GBP (pence) | 0.00 | 20/10/2025 |
|
|
Incorporation documents
PDF
(443 kb)
Prospectus
PDF
(868 kb)
Fund supplement
PDF
(147 kb)
Country supplement
PDF
(63 kb)
Interim report and accounts
PDF
(2156 kb)
Annual report and accounts
PDF
(2734 kb)
Factsheet
PDF
(127 kb)
PRIIPs KID
PDF
PRIIPS Scenario Report (KMS)
PDF
PRIIPS Past Performance Report (KPP)
PDF
|
||||||||
| Class A Euro | GBP | B81CKQ6 | IE00B81CKQ62 | 113.2300 | EUR (cent) | 0.00 | 20/10/2025 |
|
|
Incorporation documents
PDF
(443 kb)
Prospectus
PDF
(868 kb)
Fund supplement
PDF
(147 kb)
Country supplement
PDF
(63 kb)
Interim report and accounts
PDF
(2156 kb)
Annual report and accounts
PDF
(2734 kb)
Factsheet
PDF
(127 kb)
PRIIPs KID
PDF
PRIIPS Scenario Report (KMS)
PDF
PRIIPS Past Performance Report (KPP)
PDF
|
||||||||
| Class B | GBP | B4KK1F9 | IE00B4KK1F92 | 159.5300 | GBP (pence) | 0.00 | 20/10/2025 |
|
|
Incorporation documents
PDF
(443 kb)
Prospectus
PDF
(868 kb)
Fund supplement
PDF
(147 kb)
Country supplement
PDF
(63 kb)
Interim report and accounts
PDF
(2156 kb)
Annual report and accounts
PDF
(2734 kb)
PRIIPs KID
PDF
PRIIPS Scenario Report (KMS)
PDF
PRIIPS Past Performance Report (KPP)
PDF
|
||||||||
| Class F Dollar | GBP | BGH1JL1 | IE00BGH1JL11 | 144.2900 | USD (cent) | 0.00 | 20/10/2025 |
|
|
Incorporation documents
PDF
(443 kb)
Prospectus
PDF
(868 kb)
Fund supplement
PDF
(147 kb)
Country supplement
PDF
(63 kb)
Interim report and accounts
PDF
(2156 kb)
Annual report and accounts
PDF
(2734 kb)
Factsheet
PDF
(127 kb)
PRIIPs KID
PDF
PRIIPS Scenario Report (KMS)
PDF
PRIIPS Past Performance Report (KPP)
PDF
|
||||||||
| Class F Euro | GBP | B8G2MF4 | IE00B8G2MF47 | 124.2300 | EUR (cent) | 0.00 | 20/10/2025 |
|
|
Incorporation documents
PDF
(443 kb)
Prospectus
PDF
(868 kb)
Fund supplement
PDF
(147 kb)
Country supplement
PDF
(63 kb)
Interim report and accounts
PDF
(2156 kb)
Annual report and accounts
PDF
(2734 kb)
Factsheet
PDF
(127 kb)
PRIIPs KID
PDF
PRIIPS Scenario Report (KMS)
PDF
PRIIPS Past Performance Report (KPP)
PDF
|
||||||||
| Class F Sterling | GBP | B8GKCN6 | IE00B8GKCN66 | 130.6400 | GBP (pence) | 0.00 | 20/10/2025 |
|
|
Incorporation documents
PDF
(443 kb)
Prospectus
PDF
(868 kb)
Fund supplement
PDF
(147 kb)
Country supplement
PDF
(63 kb)
Interim report and accounts
PDF
(2156 kb)
Annual report and accounts
PDF
(2734 kb)
Factsheet
PDF
(127 kb)
PRIIPs KID
PDF
PRIIPS Scenario Report (KMS)
PDF
PRIIPS Past Performance Report (KPP)
PDF
|
||||||||
| Class F Sterling (Income) | GBP | BYNZBS4 | IE00BYNZBS40 | 102.2800 | GBP (pence) | 0.00 | 20/10/2025 |
|
|
Incorporation documents
PDF
(443 kb)
Prospectus
PDF
(868 kb)
Fund supplement
PDF
(147 kb)
Country supplement
PDF
(63 kb)
Interim report and accounts
PDF
(2156 kb)
Annual report and accounts
PDF
(2734 kb)
Factsheet
PDF
(127 kb)
PRIIPs KID
PDF
PRIIPS Scenario Report (KMS)
PDF
PRIIPS Past Performance Report (KPP)
PDF
|
||||||||
| Class S | GBP | B42ZTG9 | IE00B42ZTG90 | 205.0200 | GBP (pence) | 0.00 | 20/10/2025 |
|
|
Incorporation documents
PDF
(443 kb)
Prospectus
PDF
(868 kb)
Fund supplement
PDF
(147 kb)
Country supplement
PDF
(63 kb)
Interim report and accounts
PDF
(2156 kb)
Annual report and accounts
PDF
(2734 kb)
Factsheet
PDF
(127 kb)
PRIIPs KID
PDF
PRIIPS Scenario Report (KMS)
PDF
PRIIPS Past Performance Report (KPP)
PDF
|
||||||||
| Class S (Income) | GBP | BYNZBR3 | IE00BYNZBR33 | 102.9700 | GBP (pence) | 0.00 | 20/10/2025 |
|
|
Incorporation documents
PDF
(443 kb)
Prospectus
PDF
(868 kb)
Fund supplement
PDF
(147 kb)
Country supplement
PDF
(63 kb)
Interim report and accounts
PDF
(2156 kb)
Annual report and accounts
PDF
(2734 kb)
Factsheet
PDF
(127 kb)
PRIIPs KID
PDF
PRIIPS Scenario Report (KMS)
PDF
PRIIPS Past Performance Report (KPP)
PDF
|
||||||||
| Class S Euro | GBP | B839P59 | IE00B839P595 | 128.1900 | EUR (cent) | 0.00 | 20/10/2025 |
|
|
Incorporation documents
PDF
(443 kb)
Prospectus
PDF
(868 kb)
Fund supplement
PDF
(147 kb)
Country supplement
PDF
(63 kb)
Interim report and accounts
PDF
(2156 kb)
Annual report and accounts
PDF
(2734 kb)
Factsheet
PDF
(127 kb)
PRIIPs KID
PDF
PRIIPS Scenario Report (KMS)
PDF
PRIIPS Past Performance Report (KPP)
PDF
|
| Share class | Fund base | Sedol code | ISIN code | NAV (price) | NAV price currency | Yield % | Date of last price | Literature |
|---|---|---|---|---|---|---|---|---|
| Class B Euro (Accumulation) | GBP | BSM9903 | IE00BSM99031 | 111.3100 | EUR (cent) | 0.00 | 20/10/2025 |
|
|
Incorporation documents
PDF
(443 kb)
Prospectus
PDF
(868 kb)
Fund supplement
PDF
(182 kb)
Country supplement
PDF
(63 kb)
Interim report and accounts
PDF
(2156 kb)
Annual report and accounts
PDF
(2734 kb)
Factsheet
PDF
(150 kb)
PRIIPs KID
PDF
PRIIPS Scenario Report (KMS)
PDF
PRIIPS Past Performance Report (KPP)
PDF
|
||||||||
| Class B Euro (Income) | GBP | BSM98Z1 | IE00BSM98Z13 | 100.2900 | EUR (cent) | 0.00 | 20/10/2025 |
|
|
Incorporation documents
PDF
(443 kb)
Prospectus
PDF
(868 kb)
Fund supplement
PDF
(182 kb)
Country supplement
PDF
(63 kb)
Interim report and accounts
PDF
(2156 kb)
Annual report and accounts
PDF
(2734 kb)
Factsheet
PDF
(150 kb)
PRIIPs KID
PDF
|
||||||||
| Class B Sterling (Accumulation) | GBP | BSM98S4 | IE00BSM98S46 | 127.6700 | GBP (pence) | 0.00 | 20/10/2025 |
|
|
Incorporation documents
PDF
(443 kb)
Prospectus
PDF
(868 kb)
Fund supplement
PDF
(182 kb)
Country supplement
PDF
(63 kb)
Interim report and accounts
PDF
(2156 kb)
Annual report and accounts
PDF
(2734 kb)
Factsheet
PDF
(149 kb)
PRIIPs KID
PDF
PRIIPS Scenario Report (KMS)
PDF
PRIIPS Past Performance Report (KPP)
PDF
|
||||||||
| Class B USD Income | GBP | BSM9969 | IE00BSM99692 | 104.7200 | USD (cent) | 0.00 | 20/10/2025 |
|
|
Incorporation documents
PDF
(443 kb)
Prospectus
PDF
(868 kb)
Fund supplement
PDF
(182 kb)
Country supplement
PDF
(63 kb)
Interim report and accounts
PDF
(2156 kb)
Annual report and accounts
PDF
(2734 kb)
Factsheet
PDF
(149 kb)
PRIIPs KID
PDF
PRIIPS Scenario Report (KMS)
PDF
PRIIPS Past Performance Report (KPP)
PDF
|
||||||||
| Class S Euro (Accumulation) | GBP | BSM9914 | IE00BSM99148 | 113.9400 | EUR (cent) | 0.00 | 20/10/2025 |
|
|
Incorporation documents
PDF
(443 kb)
Prospectus
PDF
(868 kb)
Fund supplement
PDF
(182 kb)
Country supplement
PDF
(63 kb)
Interim report and accounts
PDF
(2156 kb)
Annual report and accounts
PDF
(2734 kb)
Factsheet
PDF
(150 kb)
PRIIPs KID
PDF
PRIIPS Scenario Report (KMS)
PDF
PRIIPS Past Performance Report (KPP)
PDF
|
||||||||
| Class S Sterling (Accumulation) | GBP | BSM98V7 | IE00BSM98V74 | 130.1300 | GBP (pence) | 0.00 | 20/10/2025 |
|
|
Incorporation documents
PDF
(443 kb)
Prospectus
PDF
(868 kb)
Fund supplement
PDF
(182 kb)
Country supplement
PDF
(63 kb)
Interim report and accounts
PDF
(2156 kb)
Annual report and accounts
PDF
(2734 kb)
Factsheet
PDF
(149 kb)
PRIIPs KID
PDF
PRIIPS Scenario Report (KMS)
PDF
PRIIPS Past Performance Report (KPP)
PDF
|
| Share class | Fund base | Sedol code | ISIN code | NAV (price) | NAV price currency | Yield % | Date of last price | Literature |
|---|---|---|---|---|---|---|---|---|
| Class B Accumulation | GBP | - | IE00BKTN2250 | 118.8100 | GBP (pence) | 0.00 | 20/10/2025 |
|
|
Factsheet
PDF
(96 kb)
Incorporation documents
PDF
(443 kb)
Prospectus
PDF
(868 kb)
Fund supplement
PDF
(165 kb)
Country supplement
PDF
(63 kb)
Interim report and accounts
PDF
(2156 kb)
Annual report and accounts
PDF
(2734 kb)
PRIIPs KID
PDF
PRIIPS Scenario Report (KMS)
PDF
PRIIPS Past Performance Report (KPP)
PDF
|
||||||||
| Class B Dollar Accumulation | GBP | - | IE00BLGZ7D71 | 0.0000 | USD (cent) | 0.00 | 18/12/2023 |
|
|
Factsheet
PDF
(96 kb)
Incorporation documents
PDF
(443 kb)
Prospectus
PDF
(868 kb)
Fund supplement
PDF
(165 kb)
Country supplement
PDF
(63 kb)
Interim report and accounts
PDF
(2156 kb)
Annual report and accounts
PDF
(2734 kb)
PRIIPs KID
PDF
PRIIPS Scenario Report (KMS)
PDF
PRIIPS Past Performance Report (KPP)
PDF
|
||||||||
| Class B Income | GBP | - | IE00BKTN2144 | 101.7200 | GBP (pence) | 0.00 | 20/10/2025 |
|
|
Factsheet
PDF
(96 kb)
Incorporation documents
PDF
(443 kb)
Prospectus
PDF
(868 kb)
Fund supplement
PDF
(165 kb)
Country supplement
PDF
(63 kb)
Interim report and accounts
PDF
(2156 kb)
Annual report and accounts
PDF
(2734 kb)
PRIIPs KID
PDF
PRIIPS Scenario Report (KMS)
PDF
PRIIPS Past Performance Report (KPP)
PDF
|
||||||||
| Class S Accumulation | GBP | - | IE00BKTN2474 | 118.0300 | GBP (pence) | 0.00 | 20/10/2025 |
|
|
Factsheet
PDF
(96 kb)
Incorporation documents
PDF
(443 kb)
Prospectus
PDF
(868 kb)
Fund supplement
PDF
(165 kb)
Country supplement
PDF
(63 kb)
Interim report and accounts
PDF
(2156 kb)
Annual report and accounts
PDF
(2734 kb)
PRIIPs KID
PDF
PRIIPS Scenario Report (KMS)
PDF
PRIIPS Past Performance Report (KPP)
PDF
|
||||||||
| Class S Income | GBP | - | IE00BKTN2367 | 97.8400 | GBP (pence) | 0.00 | 20/10/2025 |
|
|
Factsheet
PDF
(96 kb)
Incorporation documents
PDF
(443 kb)
Prospectus
PDF
(868 kb)
Fund supplement
PDF
(165 kb)
Country supplement
PDF
(63 kb)
Interim report and accounts
PDF
(2156 kb)
Annual report and accounts
PDF
(2734 kb)
PRIIPs KID
PDF
PRIIPS Scenario Report (KMS)
PDF
PRIIPS Past Performance Report (KPP)
PDF
|
| Share class | Fund base | Sedol code | ISIN code | NAV (price) | NAV price currency | Yield % | Date of last price | Literature |
|---|---|---|---|---|---|---|---|---|
| Class B Accumulation | GBP | - | IE000JJVMHH1 | 10.4346 | GBP | 0.00 | 20/10/2025 |
|
|
Incorporation documents
PDF
(443 kb)
Prospectus
PDF
(868 kb)
Fund supplement
PDF
(190 kb)
Interim report and accounts
PDF
(2156 kb)
Annual report and accounts
PDF
(2734 kb)
PRIIPs KID
PDF
|
||||||||
| Class B Income | GBP | - | IE0009ICR426 | 10.2724 | GBP | 0.00 | 20/10/2025 |
|
|
Incorporation documents
PDF
(443 kb)
Prospectus
PDF
(868 kb)
Fund supplement
PDF
(190 kb)
Interim report and accounts
PDF
(2156 kb)
Annual report and accounts
PDF
(2734 kb)
PRIIPs KID
PDF
|
||||||||
| Class S Accumulation | GBP | - | IE000ZPII9S5 | 10.4570 | GBP | 0.00 | 20/10/2025 |
|
|
Incorporation documents
PDF
(443 kb)
Prospectus
PDF
(868 kb)
Fund supplement
PDF
(190 kb)
Interim report and accounts
PDF
(2156 kb)
Annual report and accounts
PDF
(2734 kb)
PRIIPs KID
PDF
|
| Share class | Fund base | Sedol code | ISIN code | NAV (price) | NAV price currency | Yield % | Date of last price | Literature |
|---|---|---|---|---|---|---|---|---|
| Class B Accumulation | GBP | - | IE0007KF2Z92 | 10.2893 | GBP | 0.00 | 20/10/2025 |
|
|
Incorporation documents
PDF
(443 kb)
Prospectus
PDF
(868 kb)
Fund supplement
PDF
(191 kb)
Interim report and accounts
PDF
(2156 kb)
Annual report and accounts
PDF
(2734 kb)
PRIIPs KID
PDF
|
||||||||
| Class B Income | GBP | - | IE000UKSMCY8 | 10.1029 | GBP | 0.00 | 20/10/2025 |
|
|
Incorporation documents
PDF
(443 kb)
Prospectus
PDF
(868 kb)
Fund supplement
PDF
(191 kb)
Interim report and accounts
PDF
(2156 kb)
Annual report and accounts
PDF
(2734 kb)
PRIIPs KID
PDF
|
||||||||
| Class S Accumulation | GBP | - | IE00001C5WA9 | 10.3115 | GBP | 0.00 | 20/10/2025 |
|
|
Incorporation documents
PDF
(443 kb)
Prospectus
PDF
(868 kb)
Fund supplement
PDF
(191 kb)
Interim report and accounts
PDF
(2156 kb)
Annual report and accounts
PDF
(2734 kb)
PRIIPs KID
PDF
|
| Share class | Fund base | Sedol code | ISIN code | NAV (price) | NAV price currency | Yield % | Date of last price | Literature |
|---|---|---|---|---|---|---|---|---|
| Class B | GBP | B3THN92 | IE00BK5Z9Y60 | 105.4984 | GBP | 0.00 | 20/10/2025 |
| Share class | Fund base | Sedol code | ISIN code | NAV (price) | NAV price currency | Yield % | Date of last price | Literature |
|---|---|---|---|---|---|---|---|---|
| Class B | GBP | - | IE00BK5ZB066 | 114.2873 | GBP | 0.00 | 20/10/2025 |
| Share class | Fund base | Sedol code | ISIN code | NAV (price) | NAV price currency | Yield % | Date of last price | Literature |
|---|---|---|---|---|---|---|---|---|
| Class 1 | GBP | B871B86 | IE00B871B861 | 17,959.4883 | GBP | 0.00 | 22/01/2024 |
| Share class | Fund base | Sedol code | ISIN code | NAV (price) | NAV price currency | Yield % | Date of last price | Literature |
|---|---|---|---|---|---|---|---|---|
| Class 1 | GBP | B3S0HY5 | IE00B3S0HY56 | 4,168.1135 | GBP | 0.00 | 20/10/2025 |
| Share class | Fund base | Sedol code | ISIN code | NAV (price) | NAV price currency | Yield % | Date of last price | Literature |
|---|---|---|---|---|---|---|---|---|
| Class 1 | GBP | B3THN92 | IE00B3THN927 | 3,734.7022 | GBP | 0.00 | 20/10/2025 |
| Share class | Fund base | Sedol code | ISIN code | NAV (price) | NAV price currency | Yield % | Date of last price | Literature |
|---|---|---|---|---|---|---|---|---|
| Class 1 | GBP | BVG2P67 | IE00BVG2P678 | 1,075.3994 | GBP | 0.00 | 20/10/2025 |
| Share class | Fund base | Sedol code | ISIN code | NAV (price) | NAV price currency | Yield % | Date of last price | Literature |
|---|---|---|---|---|---|---|---|---|
| Class 1 | GBP | BVFNLG3 | IE00BVFNLG31 | 2,327.8465 | GBP | 0.00 | 20/10/2025 |
| Share class | Fund base | Sedol code | ISIN code | NAV (price) | NAV price currency | Yield % | Date of last price | Literature |
|---|---|---|---|---|---|---|---|---|
| Class 1 | EUR | BP9DQ06 | IE00BP9DQ068 | 16,405.4634 | EUR | 0.00 | 20/10/2025 |
| Share class | Fund base | Sedol code | ISIN code | NAV (price) | NAV price currency | Yield % | Date of last price | Literature |
|---|---|---|---|---|---|---|---|---|
| Class 1 | EUR | BP9DQ17 | IE00BP9DQ175 | 23,703.2905 | EUR | 0.00 | 20/10/2025 |
| Share class | Fund base | Sedol code | ISIN code | NAV (price) | NAV price currency | Yield % | Date of last price | Literature |
|---|---|---|---|---|---|---|---|---|
| Class 2 | GBP | - | IE00BMT7JD18 | 116.0690 | GBP | 0.00 | 21/10/2025 |
|
|
Global supplement
PDF
(65 kb)
Incorporation documents
PDF
(570 kb)
Prospectus
PDF
(1007 kb)
Fund supplement
PDF
(161 kb)
Annual report and accounts
PDF
(4832 kb)
|
||||||||
| Class 3 | GBP | - | IE00BMT7JF32 | 115.1764 | GBP | 0.00 | 21/10/2025 |
|
|
Global supplement
PDF
(65 kb)
Incorporation documents
PDF
(570 kb)
Prospectus
PDF
(1007 kb)
Fund supplement
PDF
(161 kb)
Annual report and accounts
PDF
(4832 kb)
|
| Share class | Fund base | Sedol code | ISIN code | NAV (price) | NAV price currency | Yield % | Date of last price | Literature |
|---|---|---|---|---|---|---|---|---|
| Class B | GBP | - | IE000AXSG0X3 | 117.2900 | GBP | 0.00 | 20/10/2025 |
|
|
Global supplement
PDF
(65 kb)
Incorporation documents
PDF
(570 kb)
Prospectus
PDF
(1007 kb)
Fund supplement
PDF
(157 kb)
Annual report and accounts
PDF
(3530 kb)
|
| Share class | Fund base | Sedol code | ISIN code | NAV (price) | NAV price currency | Yield % | Date of last price | Literature |
|---|---|---|---|---|---|---|---|---|
| Class B GBP (accumulation) | GBP | - | IE00BKFVZF70 | 118.1000 | GBP (pence) | 0.00 | 20/10/2025 |
|
|
Global supplement
PDF
(65 kb)
Incorporation documents
PDF
(570 kb)
Prospectus
PDF
(1007 kb)
Fund supplement
PDF
(148 kb)
Annual report and accounts
PDF
(4832 kb)
|
| Share class | Fund base | Sedol code | ISIN code | NAV (price) | NAV price currency | Yield % | Date of last price | Literature |
|---|---|---|---|---|---|---|---|---|
| Class B Acc | GBP | - | IE000LCK28E5 | 10.4604 | GBP | 0.00 | 20/10/2025 |
|
|
Incorporation documents
PDF
(443 kb)
Prospectus
PDF
(868 kb)
Fund supplement
PDF
(433 kb)
Country supplement
PDF
(63 kb)
Interim report and accounts
PDF
(2156 kb)
Annual report and accounts
PDF
(2734 kb)
PRIIPs KID
PDF
SFDR Disclosure
PDF
(199 kb)
|
| Share class | Fund base | Sedol code | ISIN code | NAV (price) | NAV price currency | Yield % | Date of last price | Literature |
|---|---|---|---|---|---|---|---|---|
| Class B GBP (Accumulation) | GBP | - | IE0006TG4EF8 | 12.8871 | GBP | 0.00 | 20/10/2025 |
|
|
Factsheet
PDF
(337 kb)
Incorporation documents
PDF
(443 kb)
Prospectus
PDF
(868 kb)
Fund supplement
PDF
(512 kb)
Interim report and accounts
PDF
(2156 kb)
Annual report and accounts
PDF
(2734 kb)
PRIIPs KID
PDF
SFDR Disclosure
PDF
(265 kb)
PRIIPS Scenario Report (KMS)
PDF
PRIIPS Past Performance Report (KPP)
PDF
|
||||||||
| Class B GBP (Income) | GBP | - | IE0004K2WVY9 | 10.3026 | GBP | 0.00 | 20/10/2025 |
|
|
Factsheet
PDF
(337 kb)
Incorporation documents
PDF
(443 kb)
Prospectus
PDF
(868 kb)
Fund supplement
PDF
(512 kb)
Interim report and accounts
PDF
(2156 kb)
Annual report and accounts
PDF
(2734 kb)
PRIIPs KID
PDF
SFDR Disclosure
PDF
(265 kb)
|