dVAM Growth Active PCP GBP A1

Overview

Fund classes:
dVAM Growth Active PCP GBP A1
1,366.00p Price
5.30p
0.39%
Today's Change
ISIN IE00BF59JD24
Share Class Accumulation
Ongoing Charge 1.25%
Annual Management Charge 0.7%

Investment Objective: The investment objective of the Fund is to achieve long term capital growth. Investment Policy: The Fund is considered to be actively managed, which means that the Investment Manager is not constrained by any index or benchmark in the selection of investments. The Investment Manager has discretion in managing the investments of the Fund. The Fund seeks to achieve this objective by investment primarily in open ended collective investment schemes which gain exposure to equities (e. g. shares), Fixed Income Securities (with no restriction on the minimum credit rating), property, commodities and currencies. It is intended that the Fund will maintain a bias towards growth and may invest up to 100% of net assets in equities. The Funds exposure to Fixed Income Securities, property, commodities and currencies may be on an ancillary basis. Macro considerations will be used in determining the allocation of investments in order to achieve the Fund’s investment objective. The Advisor will provide advice and recommendations to the Investment Manager as to suitable target Underlying Funds for investment, in accordance with the investment strategy of the Fund and based upon the strategic asset allocation views of the Investment Manager. Shares in the Fund can be bought and sold daily (every Business Day of the Fund). Any income arising from this Share Class will be accumulated. The Fundmay use a number of simple derivative instruments for investment purposes and/or efficient portfolio management purposes. Further information on the Fund’s use of derivatives can be found under the Derivatives section within the Fund’s Supplement. Although the use of derivatives may give rise to an additional exposure any such additional exposure will not exceed the Fund’s Net Asset Value. Recommendation: This Fund may not be appropriate for investors who plan to withdraw their money within 5 years.

Price and Net Asset Value breakdown

Midprice 1,366.00p
Change on Day 5.30p
Change on Day % 0.39%
52 week high 1,402.00p
52 week low 1,235.00p
Fund currency GBP
Date updated 27 June 2025

Fund details

Fund Type Open Ended Investment Company
Unit Type Accumulation
Standard initial Charge -
Annual Management Charge 0.7%
Dividend Frequency -
Latest Distribution Info -

Fund manager information

Fund Manager Company Pacific Capital Partners

Fund manager biographies

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