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 A1 US Dollar | GBP | - | IE00BG04D480 | 110.8000 | USD (cent) | 0.00 | 20/11/2024 |
|
Prospectus
PDF
(1004 kb)
Fund supplement
PDF
(215 kb)
Country supplement
PDF
(78 kb)
Interim report and accounts
PDF
(699 kb)
Annual report and accounts
PDF
(885 kb)
PRIIPS KID
PDF
|
||||||||
Class B1 Euro | GBP | B74XF97 | IE00B74XF970 | 133.5800 | EUR (cent) | 0.00 | 20/11/2024 |
|
Prospectus
PDF
(1004 kb)
Fund supplement
PDF
(215 kb)
Country supplement
PDF
(78 kb)
Interim report and accounts
PDF
(699 kb)
Annual report and accounts
PDF
(885 kb)
PRIIPS KID
PDF
|
||||||||
Class B1 US Dollar | GBP | B739659 | IE00B7396591 | 124.9900 | USD (cent) | 0.00 | 20/11/2024 |
|
Prospectus
PDF
(1004 kb)
Fund supplement
PDF
(215 kb)
Country supplement
PDF
(78 kb)
Interim report and accounts
PDF
(699 kb)
Annual report and accounts
PDF
(885 kb)
PRIIPS KID
PDF
|