This Fund is Soft Closed and is not currently available to new investors

Launch Date 29.09.2014
Base Currency GBP
Denominations GBP / EUR / US$
Domicile Dublin, Ireland

AUM 31.12.2018

As at 31.12.2018
GBP Class I Dist
NAV per share 18.01.2019
Please login to access the fact sheet
As at 31.12.2018

Countries in which this fund is available

Please click on each country to see share class availability