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

AUM 29.11.2019

Holdings
As at 29.11.2019
£20.51
GBP Class I Dist
NAV per share 09.12.2019
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As at 29.11.2019

Countries in which this fund is available

Please click on each country to see share class availability