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Funds
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Share class | Fund base | Sedol code | ISIN code | NAV (price) | NAV price currency | Yield % | Date of last price | Literature |
---|---|---|---|---|---|---|---|---|
Class B | GBP | B3SRNZ9 | IE00B3SRNZ97 | 13.7134 | GBP | 0.00 | 04/07/2025 |
|
Global supplement ![]()
PDF
(67 kb)
Incorporation documents ![]()
PDF
(570 kb)
Prospectus ![]()
PDF
(1007 kb)
Fund supplement ![]()
PDF
(136 kb)
Annual report and accounts ![]()
PDF
(4832 kb)
Factsheet ![]()
PDF
(121 kb)
|
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Class B Euro | GBP | B8FYRB2 | IE00B8FYRB27 | 11.3991 | EUR | 0.00 | 04/07/2025 |
|
Global supplement ![]()
PDF
(67 kb)
Incorporation documents ![]()
PDF
(570 kb)
Prospectus ![]()
PDF
(1007 kb)
Fund supplement ![]()
PDF
(136 kb)
Annual report and accounts ![]()
PDF
(4832 kb)
Factsheet ![]()
PDF
(121 kb)
|
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Class S | GBP | B1BMR33 | IE00B1BMR334 | 18.6249 | GBP | 0.00 | 04/07/2025 |
|
Global supplement ![]()
PDF
(67 kb)
Incorporation documents ![]()
PDF
(570 kb)
Prospectus ![]()
PDF
(1007 kb)
Fund supplement ![]()
PDF
(136 kb)
Annual report and accounts ![]()
PDF
(4832 kb)
Factsheet ![]()
PDF
(121 kb)
|
Share class | Fund base | Sedol code | ISIN code | NAV (price) | NAV price currency | Yield % | Date of last price | Literature |
---|---|---|---|---|---|---|---|---|
Class B Euro (Accumulation) | GBP | - | IE00BF8DCN20 | 1.1035 | EUR | 0.00 | 04/07/2025 |
|
Global supplement ![]()
PDF
(67 kb)
Incorporation documents ![]()
PDF
(570 kb)
Prospectus ![]()
PDF
(1007 kb)
Fund supplement ![]()
PDF
(143 kb)
Annual report and accounts ![]()
PDF
(4832 kb)
Factsheet ![]()
PDF
(154 kb)
|
||||||||
Class B GBP (Accumulation) | GBP | - | IE00BF8DCM13 | 1.2072 | GBP | 0.00 | 04/07/2025 |
|
Global supplement ![]()
PDF
(67 kb)
Incorporation documents ![]()
PDF
(570 kb)
Prospectus ![]()
PDF
(1007 kb)
Fund supplement ![]()
PDF
(143 kb)
Annual report and accounts ![]()
PDF
(4832 kb)
Factsheet ![]()
PDF
(153 kb)
|
||||||||
Class B GBP (Income) | GBP | - | IE00BF8DCL06 | 0.9860 | GBP | 0.00 | 04/07/2025 |
|
Global supplement ![]()
PDF
(67 kb)
Incorporation documents ![]()
PDF
(570 kb)
Prospectus ![]()
PDF
(1007 kb)
Fund supplement ![]()
PDF
(143 kb)
Annual report and accounts ![]()
PDF
(4832 kb)
Factsheet ![]()
PDF
(153 kb)
|
||||||||
Class B USD (Accumulation) | GBP | - | IE00BF8DCP44 | 1.2301 | USD | 0.00 | 04/07/2025 |
|
Global supplement ![]()
PDF
(67 kb)
Incorporation documents ![]()
PDF
(570 kb)
Prospectus ![]()
PDF
(1007 kb)
Fund supplement ![]()
PDF
(143 kb)
Annual report and accounts ![]()
PDF
(4832 kb)
Factsheet ![]()
PDF
(153 kb)
|
||||||||
Class S Euro (Accumulation) | GBP | - | IE00BF8DCS74 | 1.1288 | EUR | 0.00 | 04/07/2025 |
|
Global supplement ![]()
PDF
(67 kb)
Incorporation documents ![]()
PDF
(570 kb)
Prospectus ![]()
PDF
(1007 kb)
Fund supplement ![]()
PDF
(143 kb)
Annual report and accounts ![]()
PDF
(4832 kb)
Factsheet ![]()
PDF
(154 kb)
|
||||||||
Class S GBP (Accumulation) | GBP | - | IE00BF8DCR67 | 1.2380 | GBP | 0.00 | 04/07/2025 |
|
Global supplement ![]()
PDF
(67 kb)
Incorporation documents ![]()
PDF
(570 kb)
Prospectus ![]()
PDF
(1007 kb)
Fund supplement ![]()
PDF
(143 kb)
Annual report and accounts ![]()
PDF
(4832 kb)
Factsheet ![]()
PDF
(153 kb)
|
||||||||
Class S GBP (Income) | GBP | - | IE00BF8DCQ50 | 0.9807 | GBP | 0.00 | 04/07/2025 |
|
Global supplement ![]()
PDF
(67 kb)
Incorporation documents ![]()
PDF
(570 kb)
Prospectus ![]()
PDF
(1007 kb)
Fund supplement ![]()
PDF
(143 kb)
Annual report and accounts ![]()
PDF
(4832 kb)
Factsheet ![]()
PDF
(153 kb)
|
Share class | Fund base | Sedol code | ISIN code | NAV (price) | NAV price currency | Yield % | Date of last price | Literature |
---|---|---|---|---|---|---|---|---|
Class A GBP (Accumulation) | GBP | BTGCY55 | IE00BTGCY553 | 1.6126 | GBP | 0.00 | 30/06/2025 |
|
Global supplement ![]()
PDF
(67 kb)
Incorporation documents ![]()
PDF
(570 kb)
Prospectus ![]()
PDF
(1007 kb)
Fund supplement ![]()
PDF
(179 kb)
Annual report and accounts ![]()
PDF
(4832 kb)
Factsheet ![]()
PDF
(154 kb)
|
||||||||
Class A GBP (Income) | GBP | BTGCY66 | IE00BTGCY660 | 1.0988 | GBP | 0.00 | 30/06/2025 |
|
Global supplement ![]()
PDF
(67 kb)
Incorporation documents ![]()
PDF
(570 kb)
Prospectus ![]()
PDF
(1007 kb)
Fund supplement ![]()
PDF
(179 kb)
Annual report and accounts ![]()
PDF
(4832 kb)
Factsheet ![]()
PDF
(154 kb)
|
||||||||
Class B EUR (Income) | GBP | BTGCYB1 | IE00BTGCYB11 | 0.9658 | EUR | 0.00 | 30/06/2025 |
|
Global supplement ![]()
PDF
(67 kb)
Incorporation documents ![]()
PDF
(570 kb)
Prospectus ![]()
PDF
(1007 kb)
Fund supplement ![]()
PDF
(179 kb)
Annual report and accounts ![]()
PDF
(4832 kb)
Factsheet ![]()
PDF
(154 kb)
|
||||||||
Class B Euro (Accumulation) | GBP | BTGCY99 | IE00BTGCY991 | 1.1523 | GBP | 0.00 | 29/04/2022 |
|
Global supplement ![]()
PDF
(67 kb)
Incorporation documents ![]()
PDF
(570 kb)
Prospectus ![]()
PDF
(1007 kb)
Fund supplement ![]()
PDF
(179 kb)
Annual report and accounts ![]()
PDF
(4832 kb)
Factsheet ![]()
PDF
(154 kb)
|
||||||||
Class B GBP (Accumulation) | GBP | BTGCY33 | IE00BTGCY330 | 1.5001 | GBP | 0.00 | 30/06/2025 |
|
Global supplement ![]()
PDF
(67 kb)
Incorporation documents ![]()
PDF
(570 kb)
Prospectus ![]()
PDF
(1007 kb)
Fund supplement ![]()
PDF
(179 kb)
Annual report and accounts ![]()
PDF
(4832 kb)
Factsheet ![]()
PDF
(154 kb)
|
||||||||
Class B GBP (Income) | GBP | BTGCY44 | IE00BTGCY447 | 0.9999 | GBP | 0.00 | 30/06/2025 |
|
Global supplement ![]()
PDF
(67 kb)
Incorporation documents ![]()
PDF
(570 kb)
Prospectus ![]()
PDF
(1007 kb)
Fund supplement ![]()
PDF
(179 kb)
Annual report and accounts ![]()
PDF
(4832 kb)
Factsheet ![]()
PDF
(154 kb)
|
||||||||
Class B GBP Income Plus | GBP | - | IE000UGPC1U1 | 0.7738 | GBP | 0.00 | 30/06/2025 |
|
Global supplement ![]()
PDF
(67 kb)
Incorporation documents ![]()
PDF
(570 kb)
Prospectus ![]()
PDF
(1007 kb)
Fund supplement ![]()
PDF
(179 kb)
Annual report and accounts ![]()
PDF
(4832 kb)
|
||||||||
Class S GBP (Accumulation) | GBP | BTGCY77 | IE00BTGCY777 | 1.4991 | GBP | 0.00 | 30/06/2025 |
|
Global supplement ![]()
PDF
(67 kb)
Incorporation documents ![]()
PDF
(570 kb)
Prospectus ![]()
PDF
(1007 kb)
Fund supplement ![]()
PDF
(179 kb)
Annual report and accounts ![]()
PDF
(4832 kb)
Factsheet ![]()
PDF
(154 kb)
|
||||||||
Class S GBP (Income) | GBP | BTGCY88 | IE00BTGCY884 | 0.0000 | GBP | 0.00 | 30/06/2025 |
|
Global supplement ![]()
PDF
(67 kb)
Incorporation documents ![]()
PDF
(570 kb)
Prospectus ![]()
PDF
(1007 kb)
Fund supplement ![]()
PDF
(179 kb)
Annual report and accounts ![]()
PDF
(4832 kb)
Factsheet ![]()
PDF
(154 kb)
|
||||||||
Class S GBP Income Plus | GBP | - | IE000LLME8A3 | 0.8834 | GBP | 0.00 | 30/06/2025 |
|
Global supplement ![]()
PDF
(67 kb)
Incorporation documents ![]()
PDF
(570 kb)
Prospectus ![]()
PDF
(1007 kb)
Fund supplement ![]()
PDF
(179 kb)
Annual report and accounts ![]()
PDF
(4832 kb)
|
Share class | Fund base | Sedol code | ISIN code | NAV (price) | NAV price currency | Yield % | Date of last price | Literature |
---|---|---|---|---|---|---|---|---|
Class B (Hedged) Accumulation | GBP | - | IE00BG0W3648 | 1.2769 | GBP | 0.00 | 30/06/2025 |
|
Global supplement ![]()
PDF
(67 kb)
Incorporation documents ![]()
PDF
(570 kb)
Prospectus ![]()
PDF
(1007 kb)
Fund supplement ![]()
PDF
(174 kb)
Annual report and accounts ![]()
PDF
(4832 kb)
Factsheet ![]()
PDF
(132 kb)
|
||||||||
Class B (Hedged) EUR Income | GBP | - | IE00BG0W3317 | 1.0062 | EUR | 0.00 | 30/06/2025 |
|
Global supplement ![]()
PDF
(67 kb)
Incorporation documents ![]()
PDF
(570 kb)
Prospectus ![]()
PDF
(1007 kb)
Fund supplement ![]()
PDF
(174 kb)
Annual report and accounts ![]()
PDF
(4832 kb)
Factsheet ![]()
PDF
(132 kb)
|
||||||||
Class B EUR (Accumulation) | GBP | - | IE00BG0W3424 | 1.2416 | EUR | 0.00 | 30/06/2025 |
|
Global supplement ![]()
PDF
(67 kb)
Incorporation documents ![]()
PDF
(570 kb)
Prospectus ![]()
PDF
(1007 kb)
Fund supplement ![]()
PDF
(174 kb)
Annual report and accounts ![]()
PDF
(4832 kb)
Factsheet ![]()
PDF
(132 kb)
|
||||||||
Class B GBP (Accumulation) | GBP | - | IE00BG0W3200 | 1.3646 | GBP | 0.00 | 30/06/2025 |
|
Global supplement ![]()
PDF
(67 kb)
Incorporation documents ![]()
PDF
(570 kb)
Prospectus ![]()
PDF
(1007 kb)
Fund supplement ![]()
PDF
(174 kb)
Annual report and accounts ![]()
PDF
(4832 kb)
Factsheet ![]()
PDF
(132 kb)
|
||||||||
Class B GBP (Income) | GBP | - | IE00BG0W3192 | 1.0172 | GBP | 0.00 | 30/06/2025 |
|
Global supplement ![]()
PDF
(67 kb)
Incorporation documents ![]()
PDF
(570 kb)
Prospectus ![]()
PDF
(1007 kb)
Fund supplement ![]()
PDF
(174 kb)
Annual report and accounts ![]()
PDF
(4832 kb)
Factsheet ![]()
PDF
(132 kb)
|
||||||||
Class B JPY (Accumulation) | GBP | - | IE00BG0W3861 | 11,521.1034 | JPY | 0.00 | 30/06/2025 |
|
Global supplement ![]()
PDF
(67 kb)
Incorporation documents ![]()
PDF
(570 kb)
Prospectus ![]()
PDF
(1007 kb)
Fund supplement ![]()
PDF
(174 kb)
Annual report and accounts ![]()
PDF
(4832 kb)
Factsheet ![]()
PDF
(132 kb)
|
||||||||
Class S GBP (Accumulaton) | GBP | - | IE00BG0W3B91 | 1.2538 | GBP | 0.00 | 30/06/2025 |
|
Global supplement ![]()
PDF
(67 kb)
Incorporation documents ![]()
PDF
(570 kb)
Prospectus ![]()
PDF
(1007 kb)
Fund supplement ![]()
PDF
(174 kb)
Annual report and accounts ![]()
PDF
(4832 kb)
Factsheet ![]()
PDF
(132 kb)
|
||||||||
Class S GBP (Income) | GBP | - | IE00BG0W3978 | 1.0196 | GBP | 0.00 | 30/06/2025 |
|
Global supplement ![]()
PDF
(67 kb)
Incorporation documents ![]()
PDF
(570 kb)
Prospectus ![]()
PDF
(1007 kb)
Fund supplement ![]()
PDF
(174 kb)
Annual report and accounts ![]()
PDF
(4832 kb)
Factsheet ![]()
PDF
(132 kb)
|
Share class | Fund base | Sedol code | ISIN code | NAV (price) | NAV price currency | Yield % | Date of last price | Literature |
---|---|---|---|---|---|---|---|---|
Class B1 Sterling | GBP | B4ZSNV8 | IE00B4ZSNV82 | 175.8300 | GBP (pence) | 0.00 | 08/07/2025 |
|
Factsheet ![]()
PDF
(146 kb)
Incorporation documents ![]()
PDF
(572 kb)
Prospectus ![]()
PDF
(1001 kb)
Fund supplement ![]()
PDF
(402 kb)
Interim report and accounts ![]()
PDF
(654 kb)
Annual report and accounts ![]()
PDF
(899 kb)
PRIIPS KID ![]()
PDF
SFDR disclosure ![]()
PDF
(265 kb)
|