Financial Times UK - 03.03.2020

(Romina) #1

22 ★ FINANCIAL TIMES Tuesday 3 March 2020


M A N AG E D F U N D S S E RV I C E


Fund Bid Offer +/- Yield


Pictet-Asian Local Currency Debt-I USD F$180.62 - 0.81 0.00


Pictet-Biotech-I USD F $862.26 - -28.650.00
Pictet-CHF Bonds I CHF SFr523.47 - -0.130.00


Pictet-China Index I USD $154.54 - -3.180.00
Pictet-Clean Energy-I USD F $105.05 - -5.400.00


Pictet-Digital-I USD F $428.98 - -18.600.00
Pictet-Em Lcl Ccy Dbt-I USD F $179.93 - -2.930.00


Pictet-Emerging Europe-I EUR F €428.11 - -29.860.00
Pictet-Emerging Markets-I USD F $646.91 - -25.070.00


Pictet-Emerging Markets Index-I USD F$291.12 - -3.570.00
Pictet-Emerging Corporate Bonds I USD$138.84 - -0.950.00


Pictet-Emerging Markets High Dividend I USD$128.53 - -4.730.00
Pictet-Emerging Markets Sust Eq I USD$ 98.38 - -3.360.00


Pictet-EUR Bonds-I F €650.08 - 1.72 0.00
Pictet-EUR Corporate Bonds-I F €221.60 - -0.820.00


Pictet-EUR Government Bonds I EUR€180.22 - 0.44 0.00
Pictet-EUR High Yield-I F €286.34 - -0.930.00
Pictet-EUR Short Mid-Term Bonds-I F€137.41 - -0.130.00


Pictet-EUR Short Term HY I EUR €128.23 - -0.930.00
Pictet-EUR Sov.Sht.Mon.Mkt EUR I€100.36 - 0.00 0.00


Pictet-Euroland Index IS EUR €155.37 - -5.120.00
Pictet-Europe Index-I EUR F €195.77 - -7.090.00


Pictet-European Equity Selection-I EUR F€691.12 - -25.010.00
Pictet-European Sust Eq-I EUR F €286.04 - -13.320.00


Pictet-Global Bds Fundamental I USD$131.38 - -0.120.00
Pictet-Global Bonds-I EUR €196.88 - -0.990.00


Pictet-Global Defensive Equities I USD$183.59 - -10.320.00
Pictet-Global Emerging Debt-I USD F$451.55 - -2.590.00


Pictet-Global Env.Opport-I EUR €233.61 - -12.010.00
Pictet-Global Megatrend Selection-I USD F$305.93 - -13.780.00


Pictet-Global Sust.Credit HI EUR €161.25 - -0.220.00
Pictet-Greater China-I USD F $699.98 - -8.380.00


Pictet-Health-I USD $313.42 - -14.980.00
Pictet-SmartCity-I EUR €199.56 - -10.160.00


Pictet-India Index I USD $118.95 - -5.990.00
Pictet-Indian Equities-I USD F $595.92 - -22.270.00
Pictet-Japan Index-I JPY F ¥17308.26 - 123.620.00


Pictet-Japanese Equities Opp-I JPY F¥10540.49 - -424.190.00
Pictet-Japanese Equity Selection-I JPY F¥15466.04 - -657.930.00


Pictet-LATAM Lc Ccy Dbt-I USD F$137.58 - -2.920.00
Pictet-Multi Asset Global Opportunities-I EUR€126.77 - -1.270.00


Pictet-Nutrition-I EUR €229.39 - -9.590.00
Pictet-Pacific Ex Japan Index-I USD F$427.56 - -17.320.00


Pictet-Premium Brands-I EUR F €191.86 - -6.550.00
Pictet-Russia Index I USD $ 90.54 - -5.900.00


Pictet-Russian Equities-I USD F $ 84.21 - -5.700.00
Pictet-Security-I USD F $283.90 - -12.870.00


Pictet-Small Cap Europe-I EUR F €1348.19 - -46.040.00
Pictet-ST Emerg Local Currency Debt-I USD F$104.44 - -0.860.00


Pictet-ST.MoneyMkt-I €138.17 - 0.00 0.00
Pictet-ST.MoneyMkt JPY I USD ¥100760.61 - 5.80 0.00


Pictet-ST.MoneyMkt-ICHF SFr120.03 - 0.00 0.00
Pictet-ST.MoneyMkt-IUSD $145.42 - 0.01 0.00
Pictet-Timber-I USD F $168.94 - -7.680.00


Pictet-US High Yield-I USD F $176.87 - -2.030.00
Pictet-USA Index-I USD F $274.34 - -2.240.00


Pictet-USD Government Bonds-I F$743.85 - 8.04 0.00
Pictet-USD Short Mid-Term Bonds-I F$140.12 - 0.46 0.00


Pictet-USD Sov.ST.Mon.Mkt-I $109.32 - 0.01 0.00
Pictet-Water-I EUR F €402.42 - -23.050.00


Platinum Capital Management Ltd
Other International Funds
Platinum All Star Fund - A $135.67 - - -
Platinum Global Growth UCITS Fund$ 10.81 - 0.08 -
Platinum Essential Resources UCITS Fund SICAV USD Class E$ 7.85 - -0.180.00


Platinum Global Dividend UCITS Fund$ 53.86 - -0.830.00


Fund Bid Offer +/- Yield

Polar Capital Funds Plc (IRL)
Regulated
Automation & Artificial Intelligence CL I USD Acc$ 11.85 11.85-0.090.00
Asian Financials I USD $377.61377.61-0.060.00
Biotechnology I USD $ 26.14 26.140.14 0.00
Emerging Market Stars I USD Acc$ 10.49 - -0.200.00
European Ex UK Inc EUR Acc € 11.34 11.34-0.430.00
Financial Opps I USD $ 12.44 - -0.332.58
GEM Income I USD $ 11.77 - -0.360.00
Global Convertible I USD $ 13.45 13.45-0.040.00
Global Insurance I GBP £ 7.20 - -0.180.00
Global Technology I USD $ 55.21 - 0.51 0.00
Healthcare Blue Chip Fund I USD Acc$ 13.59 13.59-0.180.00
Healthcare Opps I USD $ 49.95 - -0.790.00
Income Opportunities B2 I GBP Acc£ 2.31 2.31-0.040.00
Japan Value I JPY ¥110.57110.571.29 0.00
North American I USD $ 24.93 24.93-0.160.00
UK Absolute Equity I GBP £ 20.62 20.62-0.960.00
UK Val Opp I GBP Acc £ 11.70 11.70-0.060.00

Polar Capital LLP (CYM)
Regulated
European Forager A EUR €208.73 - -0.140.00

Private Fund Mgrs (Guernsey) Ltd (GSY)
Regulated
Monument Growth 25/02/2020 £514.23519.35-15.471.49

Prusik Investment Management LLP (IRL)
Enquiries - 0207 493 1331
Regulated
Prusik Asian Equity Income B Dist$175.07 - -4.854.87
Prusik Asia Emerging Opportunities Fund A Acc$144.90 - -1.360.00
Prusik Asia Fund U Dist. £172.90 - 2.75 0.00

Purisima Investment Fds (UK) (1200)F (UK)
65 Gresham Street, London, EC2V 7NQ
Order Desk and Enquiries: 0345 922 0044
Authorised Inv Funds
Authorised Corporate Director - Link Fund Solutions
Global Total Fd PCG A 269.61 - 1.99 0.66
Global Total Fd PCG B 267.53 - 1.97 0.42
Global Total Fd PCG INT 264.41 - 1.94 0.17

Purisima Investment Fds (CI) Ltd (JER)
Regulated
PCG B X 221.32 - -14.070.00
PCG C X 216.57 - -13.780.00

Fund Bid Offer +/- Yield

Ram Active Investments SA
http://www.ram-ai.com
Other International Funds
RAM Systematic Emerg Markets Core Eq$102.86 - 0.52-
RAM Systematic Emerg Markets Eq$166.34 - -4.79-
RAM Systematic European Eq €432.45 - -13.63 -
RAM Systematic Funds Global Sustainable Income Eq$117.50 - -3.050.00
RAM Systematic Long/Short Emerg Markets Eq$111.48 - -0.79-
RAM Systematic Long/Short European Eq€144.04 - -0.38-
RAM Systematic North American Eq$293.60 - -4.20-
RAM Tactical Global Bond Total Return€149.50 - 0.07-
RAM Tactical II Asia Bond Total Return$154.30 - -0.37-

RLUM Ltd (UK)
5th Floor, Churchgate House, 56 Oxford Street, Manchester M1 6EU 03456 057777
Authorised Inv Funds
Royal London Sustainable Diversified A Inc£ 2.18 - 0.00 0.82
Royal London Sustainable World A Inc 283.20 - 1.20 0.19
Royal London Corporate Bond Mth Income 94.91 - -0.153.55
Royal London European Growth Trust 158.30 - 0.50 0.24
Royal London Sustainable Leaders A Inc 653.60 - -2.301.11
Royal London UK Growth Trust 542.20 - -6.001.31
Royal London UK Income With Growth Trust 203.30 - -1.605.84
Royal London US Growth Trust 241.90 - -0.800.00
Additional Funds Available
Please see http://www.royallondon.com for details

Ruffer LLP (1000)F (UK)
65 Gresham Street, London, EC2V 7NQ
Order Desk and Enquiries: 0345 601 9610
Authorised Inv Funds
Authorised Corporate Director - Link Fund Solutions
LF Ruffer European C Acc 598.64 - -28.750.68
LF Ruffer European C Inc 109.35 - -5.26-
LF Ruffer European O Acc 585.20 - -28.110.36
LF Ruffer Equity & General C Acc 454.42 - -7.310.50
LF Ruffer Equity & General C Inc 416.42 - -6.700.51
LF Ruffer Equity & General O Acc 444.25 - -7.160.20
LF Ruffer Equity & General O Inc 411.30 - -6.630.21
LF Ruffer Gold C Acc 192.60 - -17.980.00
LF Ruffer Gold C Inc 116.57 - -10.88 -
LF Ruffer Gold O Acc 188.22 - -17.570.00
LF Ruffer Japanese C Inc 121.38 - -6.09-
LF Ruffer Japanese C Acc 260.57 - -13.090.54
LF Ruffer Japanese O Acc X 254.40 - -12.780.26
LF Ruffer Pacific & Emerging Markets C Acc 350.72 - -11.171.31
LF Ruffer Pacific & Emerging Markets C Inc 96.40 - -3.07 -
LF Ruffer Pacific & Emerging Markets O Acc 342.55 - -10.911.03
LF Ruffer Total Return C Acc 433.09 - -8.971.59
LF Ruffer Total Return C Inc 282.92 - -5.861.61
LF Ruffer Total Return O Acc 423.36 - -8.771.59
LF Ruffer Total Return O Inc 276.41 - -5.731.61

Fund Bid Offer +/- Yield

RobecoSAM (LUX)
Tel. +41 44 653 10 10 http://www.robecosam.com/
Regulated
RobecoSAM Sm.Energy/A £ 18.78 - 0.08 1.60
RobecoSAM Sm.Energy/N € 18.14 - -0.060.00
RobecoSAM Sm.Materials/A £178.08 - -1.271.73
RobecoSAM Sm.Materials/N €195.07 - -2.910.00
RobecoSAM Sm.Materials/Na €127.17 - -1.901.65
RobecoSAM Gl.Small Cap Eq/A £120.01 - -0.171.35
RobecoSAM Gl.Small Cap Eq/N €227.56 - -0.160.00
RobecoSAM S.HealthyLiv/B €219.30 - -5.290.00
RobecoSAM S.HealthyLiv/N €210.90 - -5.080.00
RobecoSAM S.HealthyLiv/Na £150.04 - -2.441.55
RobecoSAM S.Water/A £254.79 - -3.741.66
RobecoSAM S.Water/N €233.66 - -5.250.00

Rubrics Global UCITS Funds Plc (IRL)
http://www.rubricsam.com
Regulated
Rubrics Emerging Markets Fixed Income UCITS Fund$138.87 - -0.310.00
Rubrics Global Credit UCITS Fund$ 17.26 - -0.030.00
Rubrics Global Fixed Income UCITS Fund$178.53 - 1.43 0.00
Q Rubrics India Fixed Income UCITS Fund$ 11.32 - -0.080.00
Rubrics India Fixed Income UCITS Fund$ 99.01 - -0.870.00

Scottish Friendly Asset Managers Ltd (UK)
Scottish Friendly Hse, 16 Blythswood Sq, Glasgow G2 4HJ 0141 275 5000
Authorised Inv Funds
Managed Growth ♦ 261.40 - -1.000.00
UK Growth ♦ 290.00 - -1.500.00

Slater
Investments

Slater Investments Ltd (UK)
http://www.slaterinvestments.com; Tel: 0207 220 9460
FCA Recognised
Slater Growth 561.18561.182.59 0.00
Slater Income A Inc 136.17136.17-0.270.00
Slater Recovery 261.54261.540.66 0.00
Slater Artorius 238.68238.68-18.650.42

Fund Bid Offer +/- Yield

Stonehage Fleming Investment Management Ltd(IRL)
http://www.stonehagefleming.com/gbi
[email protected]
Regulated
SF Global Best Ideas Eq B USD ACC$183.71 - -1.510.00
SF Global Best Ideas Eq D GBP INC£218.20 - -0.080.12

Thesis Unit Trust Management Limited (UK)
Exchange Building, St Johns Street, Chichester, West Sussex, PO19 1UP
Authorised Funds
TM New Court Fund A 2011 Inc £ 15.91 - -0.110.16
TM New Court Fund - A 2014 Acc£ 16.04 - -0.110.16
TM New Court Equity Growth Fund - Inc£ 16.88 - -0.160.20

Toscafund Asset Management LLP (UK)
http://www.toscafund.com
Authorised Funds
Aptus Global Financials B Acc £ 3.73 - -0.125.19
Aptus Global Financials B Inc £ 2.66 - -0.087.29

Toscafund Asset Management LLP
http://www.toscafund.com
Tosca A USD $343.18 - 7.11 -
Tosca Mid Cap GBP £314.48 - -12.05 -
Tosca Opportunity B USD $476.15 - -16.98 -
Pegasus Fund Ltd A-1 GBP £ 75.49 - -4.150.00

Troy Asset Mgt (1200) (UK)
65 Gresham Street, London, EC2V 7NQ
Order Desk and Enquiries: 0345 608 0950
Authorised Inv Funds
Authorised Corporate Director - Link Fund Solutions
Trojan Investment Funds
Spectrum Fund O Acc 232.11 - -3.140.59
Spectrum Fund O Inc 220.56 - -2.980.59
Trojan Ethical O Acc 107.74 - 0.12 0.00
Trojan Ethical O Inc 107.61 - 0.13 0.00
Trojan Ethical Income O Acc 131.94 - -0.69 -
Trojan Ethical Income O Inc 116.97 - -0.62 -
Trojan Fund O Acc 328.46 - 0.24 0.58
Trojan Fund O Inc 266.55 - 0.20 0.58
Trojan Global Equity O Acc 372.96 - 3.56 0.53
Trojan Global Equity O Inc 308.23 - 2.94 0.54

Fund Bid Offer +/- Yield
Trojan Global Income O Acc 124.29 - -0.70 -
Trojan Global Income O Inc 112.89 - -0.64 -
Trojan Income O Acc 331.15 - -2.163.95
Trojan Income O Inc 174.89 - -1.144.07

Unicorn Asset Management Ltd (UK)
PO Box 10602, Chelmsford, Essex, CM1 9PD 0845 026 4287
Authorised Inv Funds
UK Growth A Inc 604.87 - 12.621.10
Mastertrust A Inc X F 498.29 - 14.210.30
UK Growth B Inc 607.87 - 12.681.82
Mastertrust B Inc X F 448.03 - 12.751.09
Outstanding British Cos A Acc X F 313.19 - 5.66 0.61
Outstanding British Cos B Acc X F 337.38 - 6.10 1.34
UK Smaller Cos A Inc X F 562.69 - 11.431.73
UK Smaller Cos B Inc X F 551.06 - 11.192.45
UK Income A Acc X F 308.94 - 5.97 4.82
UK Income A Inc X F 231.53 - 4.47 4.84
UK Income B Acc X F 338.74 - 6.56 4.69
UK Income B Inc X F 253.99 - 4.91 5.09

WA Fixed Income Fund Plc (IRL)
Regulated
European Multi-Sector €126.44 - -0.263.28

Yuki International Limited (IRL)
Tel +44-20-7269-0207 http://www.yukifunds.com
Regulated
Yuki Mizuho Umbrella Fund
Yuki Mizuho Japan Dynamic Growth¥5613.00 - 126.000.00
Yuki Japan Low Price ¥33997.00 - 1606.000.00
Yuki Asia Umbrella Fund
Yuki Japan Rebounding Growth Fund JPY Class¥24601.00 - 651.000.00
Yuki Japan Rebounding Growth Fund USD Hedged Class$1007.10 - 26.700.00

Zadig Gestion (Memnon Fund) (LUX)
FCA Recognised
Memnon European Fund - Class U2 GBP£171.35 - -5.170.00

Money Market


Trusts and


Bank Accounts
Gross Net

Gross
AER Int Cr

CCLA Investment Management Ltd
Senator House 85 Queen Victoria Street, London EC4V 4ET
CBF Church of England Deposit Fund0.75 - 0.75 Qtr

CCLA Fund Managers Ltd
Senator House 85 Queen Victoria Street, London EC4V 4ET
COIF Charities Deposit Fund 0.65 - 0.65 Qtr

Guide to Data


The fund prices quoted on these pages are supplied by the operator of the relevant
fund. Details of funds published on these pages, including prices, are for the
purpose of information only and should only be used as a guide. The Financial
Times Limited makes no representation as to their accuracy or completeness and
they should not be relied upon when making an investment decision.

The sale of interests in the funds listed on these pages may, in certain
jurisdictions, be restricted by law and the funds will not necessarily be available to
persons in all jurisdictions in which the publication circulates. Persons in any doubt
should take appropriate professional advice. Data collated by Morningstar. For
other queries contact [email protected] +44 (0)207 873 4211.

The fund prices published in this edition along with additional information are also
available on the Financial Times website, http://www.ft.com/funds. The funds
published on these pages are grouped together by fund management company.

Prices are in pence unless otherwise indicated. The change, if shown, is the
change on the previously quoted figure (not all funds update prices daily). Those
designated $ with no prefix refer to US dollars. Yield percentage figures (in
Tuesday to Saturday papers) allow for buying expenses. Prices of certain older
insurance linked plans might be subject to capital gains tax on sales.

Guide to pricing of Authorised Investment Funds: (compiled with the
assistance of the IMA. The Investment Management Association, 65 Kingsway,
London WC2B 6TD. Tel: +44 (0)20 7831 0898.)

OEIC: Open-Ended Investment Company. Similar to a unit trust but using a
company rather than a trust structure.

Different share classes are issued to reflect a different currency, charging
structure or type of holder.

Selling price: Also called bid price. The price at which units in a unit trust are
sold by investors.

Buying price: Also called offer price. The price at which units in a unit trust are
bought by investors. Includes manager’s initial charge.

Single price: Based on a mid-market valuation of the underlying investments. The
buying and selling price for shares of an OEIC and units of a single priced unit trust
are the same.

Treatment of manager’s periodic capital charge: The letter C denotes that
the trust deducts all or part of the manager’s/operator’s periodic charge from
capital, contact the manager/operator for full details of the effect of this course of
action.

Exit Charges: The letter E denotes that an exit charge may be made when you
sell units, contact the manager/operator for full details.

Time: Some funds give information about the timing of price quotes. The time
shown alongside the fund manager’s/operator’s name is the valuation point for
their unit trusts/OEICs, unless another time is indicated by the symbol alongside
the individual unit trust/OEIC name.

The symbols are as follows: ✠ 0001 to 1100 hours; ♦ 1101 to 1400 hours; ▲
1401 to 1700 hours; # 1701 to midnight. Daily dealing prices are set on the basis of
the valuation point, a short period of time may elapse before prices become
available. Historic pricing: The letter H denotes that the managers/operators will
normally deal on the price set at the most recent valuation. The prices shown are
the latest available before publication and may not be the current dealing levels
because of an intervening portfolio revaluation or a switch to a forward pricing
basis. The managers/operators must deal at a forward price on request, and may
move to forward pricing at any time. Forward pricing: The letter F denotes that that
managers/operators deal at the price to be set at the next valuation.

Investors can be given no definite price in advance of the purchase or sale being
carried out. The prices appearing in the newspaper are the most recent provided
by the managers/operators. Scheme particulars, prospectus, key features and
reports: The most recent particulars and documents may be obtained free of
charge from fund managers/operators. * Indicates funds which do not price on
Fridays.

Charges for this advertising service are based on the number of lines published
and the classification of the fund. Please contact [email protected] or call +44 (0)20
7873 3132 for further information.

Data Provided by

http://www.morningstar.co.uk
Data as shown is for information purposes only. No offer is made by Morningstar or this publication.

Morningstar Fund Ratings


US Fund Mid-Cap Value


Name ISIN Currency NAV Total Ret
1Yr

Total Ret
3Yr

Total Ret
5Yr

12 Month
Yield

Ongoing
Charge

Fund Size Morningstar
Rating TM

Morningstar
Sustainability Rating TM

Morningstar
Analyst Rating TM

Morningstar
Analyst Rating Date

Morningstar Analyst

Fidelity® Low-Priced Stock US3163453059 US Dollar 43.52 -1.43 4.00 4.38 1.89 - 25,894,331,373.00 QQQQ „ 07/06/2019 Robby Greengold, CFA
Virtus Ceredex Mid-Cap Value Equity I US92837F4587 US Dollar 11.23 1.14 4.00 5.92 1.13 - 3,245,221,675.00 QQQQQ Neutral 24/04/2019 Kevin McDevitt, CFA
AllianzGI NFJ Mid-Cap Value C US0189186648 US Dollar 22.20 -0.12 4.00 5.25 0.68 - 1,321,240,958.00 QQQQ ́ 26/04/2019 Kevin McDevitt, CFA
Victory Sycamore Established Value R US9264643712 US Dollar 34.71 -0.54 4.00 6.22 0.96 - 10,700,426,879.00 QQQQQ „ 22/04/2019 Christopher Franz, CFA
Janus Henderson Mid Cap Value L US4710235809 US Dollar 14.67 1.13 3.00 5.49 1.08 - 3,259,176,185.00 QQQQ ́ 12/03/2019 Christopher Franz, CFA
MassMutual Select Mid-Cap Value R5 US57629U3692 US Dollar 11.63 0.90 3.00 4.72 1.89 - 90,751,009.00 QQQ ́ 27/11/2019 Tom Nations, CFP®
JHancock Disciplined Value Mid Cap I US47803W4069 US Dollar 19.58 -0.31 2.00 4.93 0.96 - 12,369,131,663.00 QQQQQ „ 17/07/2019 Alec Lucas, Ph.D.
Fidelity® Value Strategies US3164011088 US Dollar 33.55 0.05 2.00 3.39 1.52 - 779,224,949.00 QQQ Neutral 12/02/2020 Eric Schultz
JPMorgan Mid Cap Value L US3391281009 US Dollar 34.97 -1.99 2.00 4.07 1.41 - 14,710,603,906.00 QQQQ Π05/11/2019 Thomas Lancereau
VY® JPMorgan Mid Cap Value I US92914K6284 US Dollar 15.63 -2.07 2.00 4.01 1.14 - 377,300,075.00 QQQQ Œ 06/11/2019 Thomas Lancereau

MSCI Benchmark -4.92 3.52 5.12 Sorted by Annualised 3yr Total Return of NAV (highest to lowest).
Morningstar Category Benchmark -4.41 1.15 3.39 For important information about Morningstar Analyst Rating please go to: http://global.morningstar.com/managerdisclosures

MARCH 3 2020 Section:Stats Time: 2/3/2020 - 18: 56 User: peter.bailey Page Name: MANAGED FUNDS 2, Part,Page,Edition: LON, 22 , 1

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