Objective

Long term capital growth by investing mainly in the shares of UK blue chip companies.

Fund Information


Fund size

£55.46 million

No. of holdings

25
Type of Fund Authorised unit trust Regulator FSA
Class of unit Distribution Domicile UK
Sedol 0890160 S&P Rating AA
Charges Annual 1.5%
Initial up to 5% at the manager's discretion
Key features Available on request Simplified Prospectus Available on request

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Key Dates

Launch date 22 November 1989
Ex-distribution dates 1 January and 1 July
Distribution dates Last day of February and 31 August
Annual accounting 30 June
Interim Accounting 31 December