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IIFIG Bonds Plus Fund Expand Collapse

Share class Fund base Sedol code ISIN code NAV (price) NAV price currency Yield % Date of last price Literature
Class B GBP B3SRNZ9 IE00B3SRNZ97 11.7865 GBP 0.00 30/05/2023 Expand + Collapse
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Class B Euro GBP B8FYRB2 IE00B8FYRB27 10.1277 EUR 0.00 30/05/2023 Expand + Collapse
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Class S GBP B1BMR33 IE00B1BMR334 15.8410 GBP 0.00 30/05/2023 Expand + Collapse
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IIFIG Global ABS Fund Expand Collapse

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 0.9642 EUR 0.00 30/05/2023 Expand + Collapse
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Class B GBP (Accumulation) GBP - IE00BF8DCM13 1.0202 GBP 0.00 30/05/2023 Expand + Collapse
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Class B GBP (Income) GBP - IE00BF8DCL06 0.9434 GBP 0.00 30/05/2023 Expand + Collapse
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Class B USD (Accumulation) GBP - IE00BF8DCP44 1.0367 USD 0.00 30/05/2023 Expand + Collapse
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Class S Euro (Accumulation) GBP - IE00BF8DCS74 0.9792 EUR 0.00 30/05/2023 Expand + Collapse
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Class S GBP (Accumulation) GBP - IE00BF8DCR67 1.0387 GBP 0.00 30/05/2023 Expand + Collapse
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Class S GBP (Income) GBP - IE00BF8DCQ50 0.9389 GBP 0.00 30/05/2023 Expand + Collapse
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IIFIG Loan Fund Expand Collapse

Share class Fund base Sedol code ISIN code NAV (price) NAV price currency Yield % Date of last price Literature
Class S Euro (acc) EUR - IE00B2Q2NT34 1.0966 EUR 0.00 15/05/2023 Expand + Collapse
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IIFIG Long Dated Buy and Maintain Bond Fund Expand Collapse

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 8.6869 GBP 0.00 22/05/2023 Expand + Collapse
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Class B (Income) GBP - IE00BYQJ1164 6.7315 GBP 0.00 22/05/2023 Expand + Collapse
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Class S (Income) GBP - IE00BYQJ1271 6.4632 GBP 0.00 22/05/2023 Expand + Collapse
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IIFIG Maturing Buy and Maintain Bond Funds 2021-2025 Expand Collapse

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 4.9860 GBP 0.00 22/05/2023 Expand + Collapse
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Class S (Income) GBP BYT2KQ0 IE00BYT2KQ02 4.9698 GBP 0.00 22/05/2023 Expand + Collapse
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IIFIG Maturing Buy and Maintain Bond Funds 2026-2030 Expand Collapse

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 8.0486 GBP 0.00 22/05/2023 Expand + Collapse
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Class B Flexible Distribution GBP - IE00BN0Y4L12 8.7428 GBP 0.00 22/05/2023 Expand + Collapse
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Class S (Income) GBP BYT2KV5 IE00BYT2KV54 8.1757 GBP 0.00 22/05/2023 Expand + Collapse
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IIFIG Maturing Buy and Maintain Bond Funds 2031-2035 Expand Collapse

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 7.6268 GBP 0.00 22/05/2023 Expand + Collapse
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Class B Flexible Distribution GBP - IE00BN0Y4P59 7.6924 GBP 0.00 22/05/2023 Expand + Collapse
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Class S (Income) GBP BYT2K04 IE00BYT2K044 7.7474 GBP 0.00 22/05/2023 Expand + Collapse
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IIFIG Maturing Buy and Maintain Bond Funds 2036-2040 Expand Collapse

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 7.0432 GBP 0.00 22/05/2023 Expand + Collapse
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Class S (Income) GBP BYT2K48 IE00BYT2K481 7.1560 GBP 0.00 22/05/2023 Expand + Collapse
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IIFIG Maturing Buy and Maintain Bond Funds 2041-2045 Expand Collapse

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 7.0201 GBP 0.00 22/05/2023 Expand + Collapse
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Class S (Income) GBP BYT2KG0 IE00BYT2KG04 6.7732 GBP 0.00 22/05/2023 Expand + Collapse
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IIFIG Maturing Buy and Maintain Bond Funds 2046-2050 Expand Collapse

Share class Fund base Sedol code ISIN code NAV (price) NAV price currency Yield % Date of last price Literature
Class B (Income) GBP - IE00BK1MB782 5.7738 GBP 0.00 22/05/2023 Expand + Collapse
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IIFIG Secured Finance Fund (see footnote 1) Expand Collapse

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 1.3329 GBP 0.00 28/04/2023 Expand + Collapse
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Class A GBP (Income) GBP BTGCY66 IE00BTGCY660 1.0527 GBP 0.00 28/04/2023 Expand + Collapse
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Class B Euro (Accumulation) GBP BTGCY99 IE00BTGCY991 1.1523 GBP 0.00 29/04/2022 Expand + Collapse
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Class B GBP (Accumulation) GBP BTGCY33 IE00BTGCY330 1.2440 GBP 0.00 28/04/2023 Expand + Collapse
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Class B GBP (Income) GBP BTGCY44 IE00BTGCY447 0.9583 GBP 0.00 28/04/2023 Expand + Collapse
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Class S GBP (Accumulation) GBP BTGCY77 IE00BTGCY777 1.2298 GBP 0.00 28/04/2023 Expand + Collapse
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Class S GBP (Income) GBP BTGCY88 IE00BTGCY884 0.9654 GBP 0.00 28/04/2023 Expand + Collapse
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IIFIG Secured Finance II Fund Expand Collapse

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 1.0022 EUR 0.00 28/04/2023 Expand + Collapse
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Class B EUR (Accumulation) GBP - IE00BG0W3424 1.0675 EUR 0.00 28/04/2023 Expand + Collapse
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Class B GBP (Accumulation) GBP - IE00BG0W3200 1.1349 GBP 0.00 28/04/2023 Expand + Collapse
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Class B GBP (Income) GBP - IE00BG0W3192 0.9796 GBP 0.00 28/04/2023 Expand + Collapse
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Class B JPY (Accumulation) GBP - IE00BG0W3861 10,701.5959 JPY 0.00 28/04/2023 Expand + Collapse
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Class S GBP (Accumulation) GBP - IE00BG0W3B91 1.1654 GBP 0.00 28/04/2023 Expand + Collapse
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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 A Sterling GBP - IE00BG04D373 104.0500 GBP (pence) 0.00 31/05/2023 Expand + Collapse
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PRIIPS KID
Class B1 CHF GBP BYZZW78 IE00BYZZW780 98.7900 CHF (rappen) 0.00 31/05/2023 Expand + Collapse
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PRIIPS KID
Class B1 Euro GBP B74XF97 IE00B74XF970 123.5900 EUR (cent) 0.00 31/05/2023 Expand + Collapse
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PRIIPS KID
Class B1 Sterling GBP B4ZSNV8 IE00B4ZSNV82 161.4200 GBP (pence) 0.00 31/05/2023 Expand + Collapse
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PRIIPS KID
Class B1 US Dollar GBP B739659 IE00B7396591 112.7800 USD (cent) 0.00 31/05/2023 Expand + Collapse
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PRIIPS KID
Class B1 Yen GBP BSMSXQ4 IE00BSMSXQ44 11,018.2600 YEN 0.00 31/05/2023 Expand + Collapse
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PRIIPS KID
Class B1p Sterling GBP B4ZPDK8 IE00B4ZPDK80 157.6500 GBP (pence) 0.00 31/05/2023 Expand + Collapse
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PRIIPS KID
Class S Euro GBP B4342B1 IE00B4342B15 112.1000 EUR (cent) 0.00 31/05/2023 Expand + Collapse
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PRIIPS KID
Class S Sterling GBP B4ZPJJ9 IE00B4ZPJJ95 146.8900 GBP (pence) 0.00 31/05/2023 Expand + Collapse
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PRIIPS KID
Class S US Dollar GBP B754F66 IE00B754F662 172.8600 USD (cent) 0.00 15/12/2021 Expand + Collapse
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PRIIPS KID

Insight Buy and Maintain Bond Fund Expand Collapse

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 124.9600 GBP (pence) 0.00 22/05/2023 Expand + Collapse
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PRIIPS KID
Class B Income GBP B8FY284 IE00B8FY2845 86.3700 GBP (pence) 0.00 22/05/2023 Expand + Collapse
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PRIIPS KID
Class S Accumulation GBP B9BBKB5 IE00B9BBKB57 126.6900 GBP (pence) 0.00 22/05/2023 Expand + Collapse
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PRIIPS KID
Class S Income GBP B91WTT9 IE00B91WTT98 90.2500 GBP (pence) 0.00 22/05/2023 Expand + Collapse
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PRIIPS KID

Insight Enhanced Buy and Maintain Bond Fund Expand Collapse

Share class Fund base Sedol code ISIN code NAV (price) NAV price currency Yield % Date of last price Literature
Class S Accumulation GBP B46JBX8 IE00B46JBX87 130.3600 GBP (pence) 0.00 30/05/2023 Expand + Collapse
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PRIIPS KID

Insight Global (ex-UK) Bond Fund Expand Collapse

Share class Fund base Sedol code ISIN code NAV (price) NAV price currency Yield % Date of last price Literature
Class S Accumulation GBP B1W57Z3 IE00B1W57Z36 22.9937 GBP 0.00 30/05/2023 Expand + Collapse
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PRIIPS KID
Class S2 Accumulation GBP B8W6DP7 IE00B8W6DP72 1,255.3765 GBP 0.00 30/05/2023 Expand + Collapse
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PRIIPS KID

Insight High Grade ABS Fund Expand Collapse

Share class Fund base Sedol code ISIN code NAV (price) NAV price currency Yield % Date of last price Literature
Class A GBP B5VGGD6 IE00B5VGGD64 133.3400 GBP (pence) 0.00 30/05/2023 Expand + Collapse
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PRIIPS KID
Class A Dollar GBP BGH1JK0 IE00BGH1JK04 119.7200 USD (cent) 0.00 30/05/2023 Expand + Collapse
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PRIIPS KID
Class A Euro GBP B81CKQ6 IE00B81CKQ62 101.9100 EUR (cent) 0.00 30/05/2023 Expand + Collapse
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PRIIPS KID
Class B GBP B4KK1F9 IE00B4KK1F92 137.2200 GBP (pence) 0.00 30/05/2023 Expand + Collapse
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PRIIPS KID
Class F Dollar GBP BGH1JL1 IE00BGH1JL11 124.0200 USD (cent) 0.00 30/05/2023 Expand + Collapse
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PRIIPS KID
Class F Euro GBP B8G2MF4 IE00B8G2MF47 111.8100 EUR (cent) 0.00 30/05/2023 Expand + Collapse
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PRIIPS KID
Class F Sterling GBP B8GKCN6 IE00B8GKCN66 112.6400 GBP (pence) 0.00 30/05/2023 Expand + Collapse
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PRIIPS KID
Class F Sterling (Income) GBP BYNZBS4 IE00BYNZBS40 100.2200 GBP (pence) 0.00 30/05/2023 Expand + Collapse
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PRIIPS KID
Class S GBP B42ZTG9 IE00B42ZTG90 175.3000 GBP (pence) 0.00 30/05/2023 Expand + Collapse
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PRIIPS KID
Class S (Income) GBP BYNZBR3 IE00BYNZBR33 100.9300 GBP (pence) 0.00 30/05/2023 Expand + Collapse
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PRIIPS KID
Class S Euro GBP B839P59 IE00B839P595 114.0600 EUR (cent) 0.00 30/05/2023 Expand + Collapse
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PRIIPS KID

Insight Liquid ABS Fund Expand Collapse

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 101.0600 EUR (cent) 0.00 30/05/2023 Expand + Collapse
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PRIIPS KID
Class B Sterling (Accumulation) GBP BSM98S4 IE00BSM98S46 111.4400 GBP (pence) 0.00 30/05/2023 Expand + Collapse
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PRIIPS KID
Class B USD Income GBP BSM9969 IE00BSM99692 102.7100 USD (cent) 0.00 30/05/2023 Expand + Collapse
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PRIIPS KID
Class S Euro (Accumulation) GBP BSM9914 IE00BSM99148 103.1100 EUR (cent) 0.00 30/05/2023 Expand + Collapse
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PRIIPS KID
Class S Sterling (Accumulation) GBP BSM98V7 IE00BSM98V74 113.1900 GBP (pence) 0.00 30/05/2023 Expand + Collapse
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PRIIPS KID

Insight Short Dated Buy and Maintain Bond Fund Expand Collapse

Share class Fund base Sedol code ISIN code NAV (price) NAV price currency Yield % Date of last price Literature
Class B Accumulation GBP - IE00BKTN2250 100.5700 GBP (pence) 0.00 30/05/2023 Expand + Collapse
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PRIIPS KID
Class B Dollar Accumulation GBP - IE00BLGZ7D71 96.3500 USD (cent) 0.00 30/05/2023 Expand + Collapse
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PRIIPS KID
Class B Income GBP - IE00BKTN2144 94.3100 GBP (pence) 0.00 30/05/2023 Expand + Collapse
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PRIIPS KID
Class S Accumulation GBP - IE00BKTN2474 99.6700 GBP (pence) 0.00 30/05/2023 Expand + Collapse
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PRIIPS KID
Class S Income GBP - IE00BKTN2367 90.7300 GBP (pence) 0.00 30/05/2023 Expand + Collapse
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PRIIPS KID

LDI Credit Enhanced Gilts Longer Nominal Fund Expand Collapse

Share class Fund base Sedol code ISIN code NAV (price) NAV price currency Yield % Date of last price Literature
Class B GBP - IE00BK5Z9Y60 136.7817 GBP 0.00 30/05/2023

LDI Credit Enhanced Gilts Longer Real Fund Expand Collapse

Share class Fund base Sedol code ISIN code NAV (price) NAV price currency Yield % Date of last price Literature
Class B GBP - IE00BK5ZB066 151.0720 GBP 0.00 30/05/2023

LDI Enhanced Selection Inflation Fund Expand Collapse

Share class Fund base Sedol code ISIN code NAV (price) NAV price currency Yield % Date of last price Literature
Class 1 GBP B871B86 IE00B871B861 2.0747 GBP 0.00 30/05/2023

LDI Enhanced Selection Longer Nominal Fund Expand Collapse

Share class Fund base Sedol code ISIN code NAV (price) NAV price currency Yield % Date of last price Literature
Class 1 GBP B3S0HY5 IE00B3S0HY56 0.5477 GBP 0.00 30/05/2023

LDI Enhanced Selection Longer Real Fund Expand Collapse

Share class Fund base Sedol code ISIN code NAV (price) NAV price currency Yield % Date of last price Literature
Class 1 GBP B3THN92 IE00B3THN927 0.5624 GBP 0.00 30/05/2023

LDI Enhanced Selection Shorter Nominal Fund Expand Collapse

Share class Fund base Sedol code ISIN code NAV (price) NAV price currency Yield % Date of last price Literature
Class 1 GBP BVG2P67 IE00BVG2P678 0.1456 GBP 0.00 30/05/2023

LDI Enhanced Selection Shorter Real Fund Expand Collapse

Share class Fund base Sedol code ISIN code NAV (price) NAV price currency Yield % Date of last price Literature
Class 1 GBP BVFNLG3 IE00BVFNLG31 0.3368 GBP 0.00 30/05/2023

LDI Euro Enhanced Nominal Fund Expand Collapse

Share class Fund base Sedol code ISIN code NAV (price) NAV price currency Yield % Date of last price Literature
Class 1 EUR BP9DQ06 IE00BP9DQ068 2.1618 EUR 0.00 30/05/2023

LDI Euro Enhanced Real Fund Expand Collapse

Share class Fund base Sedol code ISIN code NAV (price) NAV price currency Yield % Date of last price Literature
Class 1 EUR BP9DQ17 IE00BP9DQ175 5.1171 EUR 0.00 30/05/2023

LDI GBP Liquidity Holding Fund Expand Collapse

Share class Fund base Sedol code ISIN code NAV (price) NAV price currency Yield % Date of last price Literature
Class 2 GBP - IE00BMT7JD18 103.0874 GBP 0.00 31/05/2023 Expand + Collapse
Fund literature Download
Global supplement
Incorporation documents
Prospectus
Fund supplement
Annual report and accounts
Class 3 GBP - IE00BMT7JF32 102.4906 GBP 0.00 31/05/2023 Expand + Collapse
Fund literature Download
Global supplement
Incorporation documents
Prospectus
Fund supplement
Annual report and accounts

LDI Liquid ABS Holding Fund Expand Collapse

Share class Fund base Sedol code ISIN code NAV (price) NAV price currency Yield % Date of last price Literature
Class B GBP - IE000AXSG0X3 102.3700 GBP 0.00 30/05/2023

LDI Short Dated Buy and Maintain Holding Fund Expand Collapse

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 100.0900 GBP (pence) 0.00 30/05/2023 Expand + Collapse
Fund literature Download
Global supplement
Incorporation documents
Prospectus
Fund supplement
Annual report and accounts

Responsible Horizons Multi-Sector Credit Fund Expand Collapse

Share class Fund base Sedol code ISIN code NAV (price) NAV price currency Yield % Date of last price Literature
Class B (Acc) GBP - IE0006TG4EF8 10.3109 GBP 0.00 30/05/2023 Expand + Collapse
Fund literature Download
Incorporation documents
Prospectus
Fund supplement
Interim report and accounts
Annual report and accounts
Key investor information document

Past performance is not a guide to future performance. Investment in any strategy involves a risk of loss which may partly be due to exchange rate fluctuations. Investors may not get back the full amount invested.

1Please note: with effect from 5 January 2018 we are no longer accepting subscriptions to IIFIG Secured Finance Fund. Investors with existing holdings are not affected and you can still sell your shares. We remain open to new segregated Secured Finance mandates with customised investment guidelines and investment in the IIFIG Secured Finance II Fund. Please contact your Insight relationship manager for further information.

2Absolute Insight Currency Fund closed on 5 August 2022.

High Grade ABS Fund was renamed on 2 January 2020. The Fund was previously named the LIBOR Plus Fund.

Please refer to Insight’s Remuneration Disclosure policy.

A number of Insight’s funds use swinging single pricing to reduce the impact of dilution and help protect existing investors. Estimated swing rates are available on request. At the point of dealing, actual swing rates applied may differ. More information on how swinging single pricing works is available here.