Jupiter UK Growth Fund L Inc

Overview

Fund classes:
Jupiter UK Growth Fund L Inc
278.15p Price
5.30p
1.94%
Today's Change
ISIN GB0004792130
Share Class Income
Ongoing Charge 1.74%
Annual Management Charge 1.74%

Objective The Fund objective is to provide a return, net of fees, higher than that provided by the FTSE All Share Index over the long term (at least five years). Policy At least 70% of the Fund is invested in shares of companies based in the UK (i.e. companies domiciled, headquartered or which conduct a majority of their business activity, in the UK). Up to 30% of the Fund may be invested in other assets, including shares of companies based anywhere in the world, open-ended funds (including funds managed by Jupiter and its associates), cash and near cash. Strategy The fund manager will apply a disciplined process to identify shares of companies which are considered to have potential for growth from their current level. The Fund will tend to invest in a carefully selected number of companies where the manager has the highest conviction. Benchmarks Target benchmark – FTSE All Share Index The FTSE All Share Index is an industry standard index and is one of the leading representations of UK stock markets. It is easily accessible and provides a fair reflection of the Fund Manager's investment universe and a good relative measure to assess performance outcomes. Comparator benchmark – IA UK All Companies Sector Many funds sold in the UK are grouped into sectors by the Investment Association (the trade body that represents UK investment managers), to help investors to compare funds with broadly similar characteristics. This Fund is classified in the IA UK All Companies Sector. Active Management The Fund is actively managed. This means the fund manager is taking investment decisions with the intention of achieving the Fund's investment objective; this may include decisions regarding asset selection, regional allocation, sector views and overall level of exposure to the market. The fund manager is not in any way constrained by the benchmark in their portfolio positioning, and will not hold all, or indeed may not hold any, of the benchmark constituents. Any income arising in relation to this share class will be distributed to investors on a regular basis. Investors are able to buy and sell units during any business day between 9am and 5.30pm. If you tell us to buy or sell units before 12pm on any business day we will make the transaction on the same day. If you tell us to buy or sell units after 12pm we will make the transaction on the following business day. Recommendation This fund may not be suitable for investors who plan to withdraw their capital within 5 years.

Performance

Price and Net Asset Value breakdown

Midprice 278.15p
Change on Day 5.30p
Change on Day % 1.94%
52 week high 2.82p
52 week low 2.55p
Fund currency GBX
Date updated 22 November 2024

Fund details

Fund Type Unit Trust
Unit Type Income
Standard initial Charge -
Annual Management Charge 1.74%
Dividend Frequency Annually
Latest Distribution Info 0.0119p
01 July 2024

Fund manager information

Fund Manager Company Jupiter

Fund manager biographies

Name Chris Smith
Since 01 July 2020
Bio Chris Smith joined Jupiter in June 2020. He is a fund manager in the UK Growth team and is responsible for managing the Jupiter UK Growth Fund. Before joining Jupiter, Chris was a portfolio manager in the equity opportunities team at Newton. He joined Newton in 2010 as a global research analyst and moved to the portfolio management team in 2016, becoming a UK equities portfolio manager in 2017 with lead responsibility for the UK opportunities strategy. Chris graduated from the University of Bath with a Bsc in Business Administration and is a CFA charterholder.
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