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Aberdeen American Growth  
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Schroder UK Mid 250  
M&G Recovery  
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Contact details

ManagerGroupLogo
155 Bishopsgate, London, EC2M 3AD
0800 389 4696 (Main Number)

Investment-trusts@allianzgi.co.uk

Fund managers

* Lucy MacDonald»25-Jul-2005 to Present
* Jeremy Thomas»01-Jun-2010 to Present
Mark Lovett»01-May-2002 to 28-May-2010
Nersen Pillay»01-Jun-2002 to 22-Jul-2005
Neil Dwane»01-May-2001 to 30-May-2004


Investment objectives

The Trust's investment objective is to increase its total return above the benchmark index of 50% FTSE All-Share and 50% FTSE All-World Index (ex UK sterling adjusted) over the long term, by investing in UK and international securities. The strategy of the Trust is designed to meet the requirements of those seeking a single investment in a diversified and professionally managed portfolio.

Key Information

Fund vs sector

  1y 3y
Position 20 / 34 12 / 34
Quartile 3 2

Fund ratings

FE Crown Rating: 2 FE
Crown Rating
(Quantitative)

Ratios

  1y 3y
Volatility 14.74 15.58
Alpha -5.90 0.52
Beta 1.44 1.14
Sharpe 1.08 0.44
InfoRatio 0.12 0.15
R2 0.81 0.71
Quartiles:   1  2   3  4   help with ratios
vs. Global Growth»

Performance

performance chart
chart
    1y 3y 5y 12m-24m 24m-36m 36m-48m 48m-60m
+32.4 +49.5 +24.8 -2.7 +16.0 +19.3 -30.0
  NAV +35.2+50.4+28.7-4.6 +16.6+24.3-31.2
  Global Growth +30.1+42.8+33.7-10.4+22.6+23.7-24.4
Share Price
 ShareTypePriceDatePrem/DiscDiluted NAVGearingDiv yield
EstimLast pub.NetGross
pdf BRUNNER INVESTMENT TRUST PLC UNIT 499.00 (p) 21-May-2013 -20.33 616.91 615.00
17-May-2013
119 2.67 2.67
Capital structure & income
Share Type Exchange Nominal value Issued Market value (m) Wind-up date Splits News
BRUNNER INVESTMENT TRUST PLC UNIT LONDON 25 43,147,000 212.07 n/a n/a company announcements
Share identifiers: TIDM: BUT; SEDOL: 0149000; ISIN: GB0001490001
Detailed fund information
Fund type flag United Kingdom-registered Investment Trusts
Launched1927
Gross assets£316.3m / $478.9m
Sector Global Growth
Asset ClassEquity
Own ISA wrapper Fund has ISA Wrapper help with ISA
Savings plan Fund has Savings Plan Minimum: £ 50.0 Monthly
Annual accountsn/a
Last report / accounts12-Feb-2013
Last AGM19-Mar-2013
Next AGMn/a
EGMn/a
Stockbroker(s)Oriel Securities Ltd
Management contractThe management contract provides for a management fee based on 0.45% per annum of the value of the Company's assets after deduction of''current liabilities, short term loans under one year and any other funds managed by the Manager. The contract can be terminated with six''months' notice.
Borrowing limitn/a
Continuation / Wind-up provisionn/a
Dividend policyn/a
Investment restrictionsn/a
Reconstruction proposaln/a
Settlement detailsn/a
Tax policyn/a
Peer groups
Region Asset Class Investment Focus Sector
Global Equity Mixed Global Growth
Largest holdings, 31-Mar-2013
Holding (%) Rank Holding (%) Rank
HSBC HLDGS3.201DIAGEO2.006
GLAXOSMITHKLINE3.002REED ELSEVIER2.007
ROYAL DUTCH SHELL2.803RIO TINTO1.508
BP2.804UNILEVER1.409
VODAFONE GROUP2.405PFIZER INC1.3010
 Total22.40 
Regional weightings, 31-Mar-2013
Region (%) Rank  
UK 41.90 1 41.90% UK
North America 22.40 2 22.40% North America
Money Market 12.90 3 12.90% Money Market
Europe ex UK 9.50 4 9.50% Europe ex UK
Asia Pacific ex Japan 8.40 5 8.40% Asia Pacific ex Japan
Japan 3.10 6 3.10% Japan
Latin America 1.80 7 1.80% Latin America
Total100.00 
Sector weightings, 31-Mar-2013
Sector (%) Rank  
Financials 17.10 1 17.10% Financials
Industrials 13.60 2 13.60% Industrials
Money Market 12.90 3 12.90% Money Market
Health Care 11.10 4 11.10% Health Care
Consumer Services 9.70 5 9.70% Consumer Services
Oil & Gas 9.50 6 9.50% Oil & Gas
Consumer Goods 8.50 7 8.50% Consumer Goods
Basic Materials 5.70 8 5.70% Basic Materials
Technology 5.60 9 5.60% Technology
Telecommunications 4.70 10 4.70% Telecommunications
Utilities 1.60 11 1.60% Utilities
Total100.00 


All prices in Pence Sterling (GBX) unless otherwise specified. Price total return performance figures are calculated using closing mid prices and with net income (dividends) reinvested. NAV total return performance figures are calculated using fully diluted (where applicable) daily estimated NAV figures from Thomson Financial Datastream and with gross income (dividends) reinvested.

 
 
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Downloads

UBS ETF 100GBA: Net Asset Value(s)

02:19 PM | 20-May-2013

Latest Fundswire  

Asset allocation

UK Equities, 41.90%
41.9000% ofUK Equities
North American Equities, 22.40%
22.4000% ofNorth American Equities
Money Market, 12.90%
12.9000% ofMoney Market
Europe ex UK Equities, 9.50%
9.5000% ofEurope ex UK Equities
Asia Pacific ex Japan Equities, 8.40%
8.4000% ofAsia Pacific ex Japan Equities
Japanese Equities, 3.10%
3.1000% ofJapanese Equities
American Emerging Equities, 1.80%
1.8000% ofAmerican Emerging Equities

Sector analysis

Charting

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