Overview
ISIN | GB00B054QF32 |
---|---|
Share Class | Accumulation |
Ongoing Charge | 1% |
Annual Management Charge | 0.49% |
Objectives and investment policy The Fund aims to provide a combination of capital growth and income over the long term (at least five years), investing at least 70% in a range of open and closed-ended funds to obtain an exposure to a mix of fixed income securities, shares and alternatives assets. The allocation between the fixed income securities, shares and alternative assets in which the Fund invests will vary in response to short term market conditions. However, the Fund will maintain a balance between fixed income securities, shares and alternatives assets, with the allocation to shares remaining within a 40-85% range. The underlying equity component of the Fund may include equities of companies from anywhere in the world, in any sector and of any market capitalisation. The underlying fixed income component may include government and corporate bonds issued anywhere in the world. These may be investment grade, sub-investment grade or unrated. The alternative assets to which the Fund may gain exposure include commodities, hedge fund strategies, infrastructure, property and convertibles. The Fund may also invest in: transferable securities (including exchange traded funds, REITs and structured products) other collective investment schemes (which may include schemes managed by the manager or an affiliate of the manager) cash and near cash, deposits and money market instruments The Fund may use derivatives, including exchange traded and over the counter derivatives, forward transactions and currency hedges for efficient portfolio management. Any income the Fund generates will be reinvested. You can buy and sell shares on any working day in London. The Fund is actively managed, which means that the manager has discretion over the composition of its portfolio, and the Fund is not tracking a benchmark nor is the Fund constrained by the value, price or components of a benchmark or any other aspect. The Fund is also not aiming to match or exceed the return of any benchmark. For full investment objectives and policy details please refer to the prospectus.
Midprice | 311.60p |
---|---|
Change on Day | 0.40p |
Change on Day % | 0.13% |
52 week high | 3.14p |
52 week low | 2.80p |
Fund currency | GBX |
Date updated | 10 July 2025 |
Fund Type | Open Ended Investment Company |
---|---|
Unit Type | Accumulation |
Standard initial Charge | - |
Annual Management Charge | 0.49% |
Dividend Frequency | Annually |
Latest Distribution Info |
0.0329p 02 December 2024 |
Fund Manager Company | Brooks Macdonald |
---|
Name | Mark Shields |
---|---|
Since | 01 January 2021 |
Bio | Mark joined Brooks Macdonald in 2007 and co-manages the Managed Portfolio Service and Multi-Asset Fund range. Prior to joining Brooks Macdonald, Mark worked at Private Equity Intelligence for a year. He has over 14 years’ experience in financial services. Mark is a Chartered Member of the Chartered Institute for Securities & Investment (Chartered MCSI) and holds the Investment Management Certificate (IMC). Mark heads up our thematic research team, as well as being a member of our UK funds research team. |
Name | Frank Atkins |
---|---|
Since | 01 January 2021 |
Bio | Frank joined Brooks Macdonald in 2010 and co-manages our Managed Portfolio Service and Multi-Asset Fund range. Prior to joining Brooks Macdonald, Frank worked at Barclays Wealth. He has over 10 years’ experience in financial services. Frank holds the Investment Management Certificate (IMC) and the Certificate in Private Client Investment Advice & Management (PCIAM). |