Morningstar Fund Report  | 11/04/2025Print

VT Tyndall North American Fund B GBP Income Hedged

Performance History31/03/2025
Growth of 1,000 (GBP) Advanced Graph
VT Tyndall North American Fund B GBP Income Hedged
Fund-0.00.00.00.0
+/-Cat-----
+/-B’mrk-----
 
Key Stats
NAV
10/04/2025
 GBP 1.00
Day Change 0.00%
Morningstar Category™ Other Equity
IA (formerly IMA) Sector North America
ISIN GB00BKPJYS75
Fund Size (Mil)
10/04/2025
 GBP 16.18
Share Class Size (Mil)
30/08/2024
 GBP 0.03
Max Initial Charge -
Ongoing Charge
31/12/2024
  1.15%
Investment Objective: VT Tyndall North American Fund B GBP Income Hedged
The investment objective of the Fund is to achieve capital growth over the long term (5 years). The sub-Fund will aim to meet its objectives by investing at least 70% in North American (US and Canadian) equities. The sub-Fund may also invest in other transferable securities (such as bonds), collective investment schemes (which may include those managed and/or advised by the ACD or Investment manager), money market instruments, deposits, cash and near cash.
Returns
Trailing Returns (GBP)10/04/2025
YTD0.00
3 Years Annualised0.00
5 Years Annualised-
10 Years Annualised-
12 Month Yield 0.00
Dividend Paying Frequency Half-yearly
Management
Manager Name
Start Date
Felix Wintle
07/07/2017
Inception Date
09/02/2021

Category Benchmark
Fund BenchmarkMorningstar Benchmark
IA North America-
Portfolio Profile for  VT Tyndall North American Fund B GBP Income Hedged31/03/2025
Morningstar Style Box®
Equity Style
Asset Allocation
  % Long% Short% Net Assets
Stock86.670.0086.67
Bond0.000.000.00
Property0.000.000.00
Cash91.9578.6213.33
Other0.000.000.00
Top 5 Regions%
United States97.16
Asia - Emerging2.84
Canada0.00
Latin America0.00
United Kingdom0.00
Top 5 Sectors%
Industrials20.48
Technology19.60
Financial Services17.56
Consumer Cyclical15.80
Communication Services12.42
Top 5 HoldingsSector%
Fiserv IncTechnologyTechnology5.13
Howmet Aerospace IncIndustrialsIndustrials4.31
Motorola Solutions IncTechnologyTechnology4.12
Costco Wholesale CorpConsumer DefensiveConsumer Defensive3.97
The Goldman Sachs Group IncFinancial ServicesFinancial Services3.61
VT Tyndall North American Fund B GBP Income Hedged
Growth Of 1000 (GBP) 31/03/2025
Fund:  VT Tyndall North American Fund B GBP Income Hedged
Category:  Other Equity
Category Index: 
Growth of 1,000 GBP
Annual Returns (GBP)31/03/2025
 20222023202431/03
Price Return0.000.010.000.00
+/- Category----
+/- Category Index----
% Rank in Category-
Trailing Returns (GBP)10/04/2025
   Total Returns   +/- Category   +/- Category Index
1 Day0.00   --
1 Week0.00   --
1 Month0.00   --
3 Months0.00   --
6 Months1.97   --
YTD0.00   --
1 Year0.00   --
3 Years Annualised0.00   --
5 Years Annualised-   --
10 Years Annualised-   --
 
Quarterly Returns (GBP)31/03/2025
 Quarter 1Quarter 2Quarter 3Quarter 4
20250.00---
20240.000.41-2.331.97
20230.000.000.000.01
20220.000.000.000.00
2021-0.000.000.00
 
 
 
Morningstar Rating™(Relative to Category)-
 Morningstar ReturnMorningstar RiskMorningstar Rating™
3-Year--Not Rated
5-Year--Not Rated
10-Year--Not Rated
Overall--Not Rated
 
Click here to see our Methodology
Volatility Measurements31/03/2025
 
3-Yr Std Dev5.24 %
3-Yr Mean Return0.14 %
 
3-Yr Sharpe Ratio-0.73
 
Modern Portfolio Statistics-31/03/2025
 Standard IndexBest Fit Index
   Morningstar GBP 1M Cash GR GBP
3-Yr Beta-0.98
3-Yr Alpha--3.88
 
Investment Style Details31/03/2025
Morningstar Style Box®
Equity Style
SizeRel to Cat
Average Mkt Cap (Mil)GBP 62745-
Market Capitalisation% of Equity
Giant11.17
Large47.50
Medium36.72
Small4.61
Micro0.00
Valuations and Growth RatesEquity PortfolioRelative to Category
Price/Prospective Earnings26.121.67
Price/Book4.481.95
Price/Sales3.121.66
Price/Cash Flow12.561.29
Dividend-Yield Factor0.900.36
 
Long-Term Projected Earnings Growth22.272.21
Historical Earnings Growth14.962.23
Sales Growth8.971.77
Cash-Flow Growth17.132.41
Book-Value Growth4.121.29
 
Asset Allocation31/03/2025
Asset Allocation
 % Long% Short% Net Assets
Stock86.670.0086.67
Bond0.000.000.00
Property0.000.000.00
Cash91.9578.6213.33
Other0.000.000.00
World Regions31/03/2025
 % of EquityRelative to Category
United States97.162.26
Canada0.000.00
Latin America0.000.00
United Kingdom0.000.00
Eurozone0.000.00
Europe - ex Euro0.000.00
Europe - Emerging0.000.00
Africa0.000.00
Middle East0.000.00
Japan0.000.00
Australasia0.000.00
Asia - Developed0.000.00
Asia - Emerging2.840.42
 
Sector Weightings31/03/2025
 % of EquityRelative to Category
Consumer CyclicalConsumer Cyclical15.801.73
Financial ServicesFinancial Services17.561.08
Real EstateReal Estate2.500.96
Consumer DefensiveConsumer Defensive7.131.22
HealthcareHealthcare2.420.29
UtilitiesUtilities2.080.49
Communication ServicesCommunication Services12.421.84
IndustrialsIndustrials20.481.72
TechnologyTechnology19.601.16
 
Top 10 Holdings31/03/2025
 Portfolio NEW
Total Number of Equity Holdings34
Total Number of Bond Holdings0
Assets in Top 10 Holdings37.60
NameSectorCountry% of Assets
Fiserv Inc311United States5.13
Howmet Aerospace Inc310United States4.31
Motorola Solutions Inc311United States4.12
Costco Wholesale Corp205United States3.97
The Goldman Sachs Group Inc103United States3.61
Axon Enterprise Inc310United States3.56
GoDaddy Inc Class A311United States3.40
AutoZone Inc102United States3.22
T-Mobile US Inc308United States3.14
Copart Inc310United States3.14
 
 
Management
Name of CompanyValu-Trac Investment Management Limited
Phone01343 880344
Websitewww.valu-trac.com
AddressOrton Moray IV32 7QE
 Orton   IV32 7QE
 United Kingdom
DomicileUnited Kingdom
Legal StructureOpen Ended Investment Company
UCITSYes
Inception Date09/02/2021
Fund Advisor(s)
Odd Asset Management Limited
Fund ManagerFelix Wintle
Manager Start Date07/07/2017
 
Biography
He began his career in September 1999 at City Financial Asset Management, becoming manager of the CF Biotech Fund in 2003. In 2004, the firm was acquired by Neptune Investment Management and he took over management of the Neptune US Opportunities Fund in August 2005, which he ran until May 2016.
Fees and Expenses
Sales Charges (Maximum) 
Max Initial Chargen/a
Max Exit Charge*n/a
Annual Charges
Max Annual Management Chargen/a
Ongoing Charge1.15%
Purchase Details
Minimum Investments
Initial25000000  GBP
Additional25000  GBP
Savings-
Tax Free Savings Schemes
ISAsNo