

Funds and prices
Funds and prices
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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 | 87.6700 | EUR (cent) | 0.00 | 05/08/2022 |
|
Prospectus ![]()
PDF
(903 kb)
Fund supplement ![]()
PDF
(211 kb)
Interim report and accounts ![]()
PDF
(744 kb)
Annual report and accounts ![]()
PDF
(938 kb)
KIIDs ![]()
PDF
|
Share class | Fund base | Sedol code | ISIN code | NAV (price) | NAV price currency | Yield % | Date of last price | Literature |
---|---|---|---|---|---|---|---|---|
Class A1 US Dollar | GBP | - | IE00BG04D480 | 103.1000 | USD (cent) | 0.00 | 12/08/2022 |
|
Prospectus ![]()
PDF
(903 kb)
Fund supplement ![]()
PDF
(217 kb)
Country supplement ![]()
PDF
(139 kb)
Interim report and accounts ![]()
PDF
(744 kb)
Annual report and accounts ![]()
PDF
(938 kb)
KIIDs ![]()
PDF
|
||||||||
Class B1 Euro | GBP | B74XF97 | IE00B74XF970 | 127.4900 | EUR (cent) | 0.00 | 12/08/2022 |
|
Prospectus ![]()
PDF
(903 kb)
Fund supplement ![]()
PDF
(217 kb)
Country supplement ![]()
PDF
(139 kb)
Interim report and accounts ![]()
PDF
(744 kb)
Annual report and accounts ![]()
PDF
(938 kb)
KIIDs ![]()
PDF
|
||||||||
Class B1 US Dollar | GBP | B739659 | IE00B7396591 | 113.9100 | USD (cent) | 0.00 | 12/08/2022 |
|
Prospectus ![]()
PDF
(903 kb)
Fund supplement ![]()
PDF
(217 kb)
Country supplement ![]()
PDF
(139 kb)
Interim report and accounts ![]()
PDF
(744 kb)
Annual report and accounts ![]()
PDF
(938 kb)
KIIDs ![]()
PDF
|