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Fund name
Aberdeen American Growth  
Fidelity American  
Schroder UK Mid 250  
M&G Recovery  
Jupiter Merlin UK Growth  
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Contact details

ManagerGroupLogo
Cassini House, 57 St James's Street, London, SW1A 1LD
0800 092 2051 (Dealing)
020 7399 6497 (Fax Number)
0800 0922090 (IFA Support)
0800 092 2051 (Main Number)

investorsupport@artemisfunds.com

Fund managers

* Jacob de Tusch-Lec21-May-2012 to Present
 
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* James Foster»21-May-2012 to Present


Investment objectives

The fund aims to achieve an income in addition to capital growth through an actively managed combination of global equities, bonds and cash.The fund aims to provide a combination of income and long term capital growth by investing in a globally diversified portfolio of assets. Exposure will normally be global equities, bonds and cash. The proportion of the Fund allocated to each asset class as well as the underlying stock selection will be actively managed. The Fund will actively allocate between gilts, corporate bonds and High Yield, and within equities between sector and geographies. The Fund may, in addition to its other investment powers, use cash and near cash (which includes money market instruments and deposits) and exchange traded and over the counter derivatives and forward currency contracts for hedging and investment purposes.

Key Information

Fund vs sector

  1y 3y
Position 2 / 152 -
Quartile 1 -

Fund ratings

BLANKMstar OBSR
Analyst
(Qualitative)
n/aS&P Rating
(Qualitative)
FE Crown Rating: 0 FE Crown Rating
(Quantitative)
(Short History)

Ratios

  1y 3y
Volatility n/a n/a
Alpha n/a n/a
Beta n/a n/a
Sharpe n/a n/a
Info Ratio n/a n/a
R2 n/a n/a
Quartiles:   1  2  3  4   help with ratios
vs. IMA Mixed Investment 20%-60% Shrs»
performance chart
chart
    1y3y5y12m-24m24m-36m36m-48m48m-60m
ACC +29.4n/an/an/an/an/an/a
  IMA MIXED INVESTMENT 20%-60% SHRS   +17.6+24.5+25.3-3.0+9.1+16.2-13.4
Clean share class
   Bid OfferDateYieldOCF help CiticodeSEDOL
pdf ARTEMIS MONTHLY DISTRIBUTION INST ACC ACC 61.33 (p) 62.40 (p) 23-May-2013 n/a 1.03% 10ED B75F9Z6
pdf ARTEMIS MONTHLY DISTRIBUTION INST INC INC 59.20 (p) 60.23 (p) 23-May-2013 n/a 1.03% 10EE B6TK3R0
Other share classes
   Bid OfferDateYieldOCF help CiticodeSEDOL
pdf ARTEMIS MONTHLY DISTRIBUTION RET ACC ACC 61.00 (p) 64.68 (p) 23-May-2013 n/a 1.78% 10EB B74BQB0
pdf ARTEMIS MONTHLY DISTRIBUTION RET INC INC 58.88 (p) 62.43 (p) 23-May-2013 n/a 1.78% 10EC B75BPF6

The Ongoing Charges Figure (OCF) shows the drag on performance caused by operational expenses associated with a fund.

Expenses which are represented by this figure include payments to the manager, the trustee the custodian and their representatives. The figure also includes registration, regulatory, audit and legal fees, and the costs of distribution.

Performance fees, transaction costs, interest on borrowing, costs associated with derivatives, entry and exit fees and soft commissions are not included in the OCF calculation, and should be factored in separately by the investor.

The OCF is calculated by taking the sum of these expenses incurred in the last 12 months and dividing this by the average net assets of that class for the last 12 months.

Total Expense Ratio (TER) is a formula designed to show the ongoing costs to the investor associated with a fund, including some charges which are not factored into the annual management fee. In addition the fund’s annual fee, charges such as trading fees, audit and legal fees, and operational expenses are included in the TER, which is worked out by dividing the total cost of the fund by its total assets to arrive at a percentage.

Unlike the Ongoing Charges Figure, the TER takes into account performance fees. It does not include transaction costs paid to the custodian.

Detailed fund information
Fund type flag UK Unit Trust
Own ISA wrapper Fund has ISA Wrapper help with ratios Fund size£7.6m / $11.5m (30-Apr-13)
Savings plan Fund has Savings Plan Minimum: £ 50.0 Monthly Launch21-May-2012
Pricing times12:00 Dealing frequencyn/a
CAT standardCAT Standard Dealing timesn/a
Minimum initial£ 1,000
Minimum additionaln/a
Initial charge0.00%
Annual management charge1.50%
Note to chargesn/a
Trustee / Depositaryn/a
Registrarn/a
Multi-Managern/a
Indexn/a
Dividend policyJan 01, Feb 01, Mar 01, Apr 01, May 01, Jun 01 (Final), Jul 01, Aug 01, Sep 01, Oct 01, Nov 01, Dec 01
Peer groups
Region Asset Class Investment Focus Sector
Global Mixed Asset n/a IMA Mixed Investment 20%-60% Shrs
Sector weightings, 30-Apr-2013
Sector(%)RankPrev 
Others22.001(1) 22.00% Others
Utilities14.002(2) 14.00% Utilities
Telecommunication Services13.903(3) 13.90% Telecommunication Services
Diversified financials8.904(5) 8.90% Diversified financials
Real Estate8.405(4) 8.40% Real Estate
Insurance7.806(6) 7.80% Insurance
Media7.407(9) 7.40% Media
Banks6.908- 6.90% Banks
Biotechnology/Medical5.909- 5.90% Biotechnology/Medical
Capital Goods4.8010(10) 4.80% Capital Goods
Total100.00 

All prices in Pence Sterling (GBX) unless otherwise specified. Price total return performance figures are calculated on a bid price to bid price basis (mid to mid for OEICs) with net income (dividends) reinvested. Performance figures are shown in Sterling unless otherwise specified.

 
 
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Asset allocation

International Equities, 38.00%
38.0000% ofInternational Equities
Global Fixed Interest, 35.80%
35.8000% ofGlobal Fixed Interest
Global Investment Grade Fixed Interest, 20.80%
20.8000% ofGlobal Investment Grade Fixed Interest
Money Market, 5.40%
5.4000% ofMoney Market

FE Adviser Fund Index

Sector analysis

Charting

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