The Fund is intended to provide capital appreciation through exposure to asset combinations that will reflect medium volatility (not exceeding 10% per year measured over rolling 5 year periods) over the medium term to long term (at least 7 years).
Investment Manager : Collidr Asset Management Limited
Fund Manager : Colin Leggett
Fund Details
Dealing: Daily
NAV Frequency: Daily
Investment Association Sector:
Dividend Payment Dates:
† Month end valuation – non dealing price
‡ Ex-Dividend
§ Quarter end valuation – non dealing price
(e) Estimated
Please note that the above prices are for information purposes only and are not necessarily the price at which the funds can be bought or sold. All of our funds operate on a forward pricing basis, and any instruction received to buy or sell units or shares receives the next available price. Past performance is not a guide to the future. Investors may not get back the amount invested.
The value of an investment and the income from them may go down as well as up and investors may not get back the original amount invested.
Past performance is not a guide to future performance. Further information is available in the Fund’s prospectus, and where applicable the Key Investor Information Document.
We are not authorised to give financial advise, should you require further assistance with your financial decisions please speak to a qualified financial advisor. Please read the Fund's documentation before making any investment decision.