|%
Chart Data Not Available
  • Last Closing Share Price
  • Day Range
  • Year Range
  • Market Capitalisation GBP
    315.2 Mil
  • Income Only Yield
    0.05%
  • Bid/Ask
  • Last Actual NAV
    140.60
  • Last Actual NAV Date
    01/04/2025
  • Estimated NAV
    140.60
  • 1-Year Z-Statistic
    2.02
  • Latest Disc/Prem
    -7.11%
  • Total Distribution Yield
    4.92%

Performance

Growth of 10,000

  • Index
    18,955
  • LWI
    16,236
  • Category
    14,731
  • Growth
A chart contrasting Fund Growth of 10k over 10 years versus Category and Index
2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 YTD
Manager Change : Full Partial
Total Return % 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 YTD
Fund (Price) 10.46 2.47 16.47 -11.34 14.21 -11.01 16.31 -5.18 9.14 4.43 6.10
Fund (NAV) 3.71 13.56 16.16 -15.00 16.94 -15.09 23.85 -5.67 8.85 8.10 0.93
Category (NAV)
Index (Price) 0.38 17.17 13.19 -9.34 18.56 -11.57 18.56 1.02 7.62 9.82 5.81
Quartile Rank
Percentile Rank 67 27 39 75 87 87 12 38 35 50 65
# of Invest. in Cat.
Category Name
EU0553 EAA CE UK Flex-Cap Equity
EU0553 EAA CE UK Flex-Cap Equity
EU0553 EAA CE UK Flex-Cap Equity
EU0553 EAA CE UK Flex-Cap Equity
EU0553 EAA CE UK Flex-Cap Equity
EU0553 EAA CE UK Flex-Cap Equity
EU0553 EAA CE UK Flex-Cap Equity
EU0553 EAA CE UK Flex-Cap Equity
EU0553 EAA CE UK Flex-Cap Equity
EU0553 EAA CE UK Flex-Cap Equity
EU0553 EAA CE UK Flex-Cap Equity

Trailing Returns

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