Adviser Centre

Actively Managed Fund Prices

The prices displayed here are correct as at  10/02/2012 .

The unit price of (E) and (R) unit classes for the same fund will differ as the initial charge applied to (R) unit class funds is taken into account when calculating (R) fund unit prices.

Fund Name Selling Price (p) Buying Price (p) Net Yield (%)*
Active Range
Asian Income Trust (Acc) (R) 457.5 486.6 4.90
Asian Income Trust (Dis) (R) 388.3 413.0 5.10
Asian Income Trust (Acc) (E) 457.4 463.3 4.90
Asian Income Trust (Dis) (E) 388.3 393.3 5.10
Distribution Trust (Acc) (R) 68.86 73.14 4.00
Distribution Trust (Dis) (R) 51.14 54.32 4.00
Equity Trust (Acc) (R) 2195 2324 1.10
Equity Trust (Dis) (R) 791.1 837.9 1.10
Equity Trust (Acc) (E) 2194 2213 1.10
Equity Trust (Dis) (E) 790.9 797.9 1.10
European Absolute Fund (R) Acc 47.62 50.11 0.00
European Trust (Acc) (R) 234.0 246.7 0.70
European Trust (Dis) (R) 215.9 227.6 0.70
European Trust (Acc) (E) 234.0 234.9 0.70
European Trust (Dis) (E) 215.9 216.7 0.70
Global Growth Trust (Acc) (R) 121.2 127.8 0.30
Global Growth Trust (Dis) (R) 114.9 121.3 0.30
Global Growth Trust (Acc) (E) 121.2 121.8 0.30
Global Growth Trust (Dis) (E) 114.9 115.5 0.30
Global Macro Themes Fund (Acc) (R) 68.49 72.05 0.00
Global Macro Themes Fund (Dis) (R) 68.27 71.81 0.00
Growth Trust (Acc) (R) 62.10 65.77 0.50
Growth Trust (Dis) (R) 54.62 57.84 0.50
Growth Trust (Acc) (E) 62.10 62.63 0.50
Growth Trust (Dis) (E) 54.62 55.09 0.50
North American Trust (Acc) (R) 442.5 466.6 0.00
North American Trust (Dis) (R) 440.3 464.3 0.00
North American Trust (Acc) (E) 442.5 444.4 0.00
North American Trust (Dis) (E) 440.3 442.1 0.00
Pacific Growth Trust (Acc) (R) 227.3 241.6 0.70
Pacific Growth Trust (Dis) (R) 209.6 222.7 0.70
Pacific Growth Trust (Acc) (E) 227.2 230.0 0.70
Pacific Growth Trust (Dis) (E) 209.6 212.1 0.70
UK Absolute Fund (R) Acc 53.43 56.21 0.00
UK Active Opportunities Trust (Acc) (R) 208.7 221.1 1.00
UK Active Opportunities Trust (Dis) (R) 176.9 187.4 1.00
UK Active Opportunities Trust (Acc) (E) 208.7 210.5 1.00
UK Active Opportunities Trust (Dis) (E) 176.9 178.5 1.00
UK Alpha Trust (Acc) (R) 110.3 120.1 0.00
UK Equity Income Fund (Acc) (R) 51.53 54.54 3.20
UK Equity Income Fund (Dis) (R) 50.07 52.99 3.30
UK Property Trust (Acc) (R) 49.92 54.74 2.60
UK Property Trust (Dis) (R) 41.50 45.50 2.70
UK Smaller Companies Trust (Acc) (R) 540.0 579.8 0.50
UK Smaller Companies Trust (Dis) (R) 497.6 534.2 0.50
UK Smaller Companies Trust (Acc) (E) 540.0 552.2 0.50
UK Smaller Companies Trust (Dis) (E) 497.6 508.7 0.50
UK Special Situations Trust (Acc) (R) 59.87 63.87 0.10
UK Special Situations Trust (Dis) (R) 57.43 61.27 0.00
Worldwide Trust (Acc) (R) 181.9 191.0 0.70
Worldwide Trust (Dis) (R) 159.5 167.5 0.70
Worldwide Trust (Acc) (E) 181.9 181.9 0.70
Worldwide Trust (Dis) (E) 159.5 159.5 0.70
Cash Range
Cash Trust (Acc) (R) 94.25 94.25 0.10

The suffixes of E, R, and A denote the different classes of units in issue. The classes vary by charging structure. In addition some classes are only available to certain types of investor. The class of unit you have will be shown on your contract note and your last statement.

* The Cash Trust and the Distribution Trust show the gross yield.