New Fund Launch

Launch Date 31.12.2018
Base Currency US$
Denominations US$ / GBP / EUR
Domicile Dublin, Ireland
AUM

AUM 28.02.2019

Holdings
As at 28.02.2019
US$100.83
USD Class I Acc
NAV per share 14.03.2019
As at 28.02.2019

Countries in which this fund is available

Please click on each country to see share class availability