• Funds

    To find more details on a fund click on the fund name. Use the search facility to find a specific fund or asset class. 

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    Our funds

    EuropeanSingle priceYieldPrice dateOrder TitleOrder Date
    SWIP European Fund443.401.4024.05.2013SWIP European Fund20130524
    UK EquitiesSingle priceYieldPrice dateOrder TitleOrder Date
    SWIP Foundation Growth Fund39.122.3024.05.2013SWIP Foundation Growth Fund20130524
    SWIP UK Enhanced Equity Fund153.402.5024.05.2013SWIP UK Enhanced Equity Fund20130524
    SWIP UK Flexible Strategy Fund122.201.3024.05.2013SWIP UK Flexible Strategy Fund20130524
    SWIP UK Income Fund98.263.7024.05.2013SWIP UK Income Fund20130524
    SWIP UK Opportunities Fund1,106.001.0024.05.2013SWIP UK Opportunities Fund20130524
    SWIP UK Smaller Companies Fund 339.101.0024.05.2013SWIP UK Smaller Companies Fund 20130524
    Real EstateSingle priceYieldPrice dateOrder TitleOrder Date
    SWIP European Real Estate Fund133.903.6024.05.2013SWIP European Real Estate Fund20130524
    SWIP Property Trust110.503.0024.05.2013SWIP Property Trust20130524
    Multi-ManagerSingle priceYieldPrice dateOrder TitleOrder Date
    SWIP MM Diversity Fund120.100.7024.05.2013SWIP MM Diversity Fund20130524
    SWIP MM Global Real Estate Fund163.202.2024.05.2013SWIP MM Global Real Estate Fund20130524
    SWIP MM International Equity Fund206.100.3024.05.2013SWIP MM International Equity Fund20130524
    SWIP MM Optimal Multi-Asset Fund124.000.1024.05.2013SWIP MM Optimal Multi-Asset Fund20130524
    SWIP MM Select Boutiques Fund126.900.1024.05.2013SWIP MM Select Boutiques Fund20130524
    SWIP MM UK Equity Focus Fund170.601.2024.05.2013SWIP MM UK Equity Focus Fund20130524
    SWIP MM UK Equity Growth Fund172.101.4024.05.2013SWIP MM UK Equity Growth Fund20130524
    SWIP MM UK Equity Income Fund171.803.8024.05.2013SWIP MM UK Equity Income Fund20130524
    Multi-AssetSingle priceYieldPrice dateOrder TitleOrder Date
    SWIP Absolute Return Macro Fund80.220.0024.05.2013SWIP Absolute Return Macro Fund20130524
    SWIP Diversified Assets Fund 200.601.0024.05.2013SWIP Diversified Assets Fund 20130524
    International EquitiesSingle priceYieldPrice dateOrder TitleOrder Date
    SWIP Islamic Global Equity Fund1.710.0024.05.2013SWIP Islamic Global Equity Fund20130524
    SWIP Emerging Markets Fund309.100.9024.05.2013SWIP Emerging Markets Fund20130524
    SWIP Global Fund535.000.1024.05.2013SWIP Global Fund20130524
    SWIP North American Fund1,192.000.0024.05.2013SWIP North American Fund20130524
    SWIP Financial Fund 2,373.001.0024.05.2013SWIP Financial Fund 20130524
    Fixed IncomeSingle priceYieldPrice dateOrder TitleOrder Date
    SWIP Absolute Return Bond Fund107.902.4024.05.2013SWIP Absolute Return Bond Fund20130524
    SWIP Absolute Return Bond Fund124.002.1024.05.2013SWIP Absolute Return Bond Fund20130524
    SWIP Corporate Bond Plus Fund134.903.9024.05.2013SWIP Corporate Bond Plus Fund20130524
    SWIP Defensive Gilt Fund 129.200.0024.05.2013SWIP Defensive Gilt Fund 20130524
    SWIP European High Yield Bond Fund126.205.6024.05.2013SWIP European High Yield Bond Fund20130524
    SWIP Gilt Plus Fund154.301.1024.05.2013SWIP Gilt Plus Fund20130524
    SWIP Global Bond Plus Fund156.100.3024.05.2013SWIP Global Bond Plus Fund20130524
    SWIP High Yield Bond Fund143.105.1024.05.2013SWIP High Yield Bond Fund20130524
    SWIP Sterling Bond Plus Fund134.401.8024.05.2013SWIP Sterling Bond Plus Fund20130524
    SWIP Sterling Credit Advantage Fund119.801.1024.05.2013SWIP Sterling Credit Advantage Fund20130524
    SWIP Sterling Index Linked Bond Fund 179.000.1024.05.2013SWIP Sterling Index Linked Bond Fund 20130524
    SWIP Strategic Bond Fund 127.603.6024.05.2013SWIP Strategic Bond Fund 20130524
    SWIP European Corporate Bond Fund137.802.7024.05.2013SWIP European Corporate Bond Fund20130524
    SWIP Sterling Credit Advantage Fund119.801.1024.05.2013SWIP Sterling Credit Advantage Fund20130524
    International EquitiesBidOfferYieldPrice dateOrder TitleOrder Date
    SWIP Capital Trust 353.80368.001.4024.05.2013SWIP Capital Trust 20130524

    Important information

    The price information shown is for a default share class for each fund. For a list of prices for all share classes, please refer to our Fund prices page.

    The value of an investment and any income from it is not guaranteed and can go up and down depending on investment performance (and currency exchange rates where a fund invests overseas). Gross income reinvested.

    Source: Financial Express. Net share class displayed unless otherwise stated. * Historic yield ** Distribution yield/underlying yield

    Yields shown are estimates based on a snapshot of the portfolio and are not guaranteed. Yield terms are defined below.

    The yields shown are expressed as a % per annum of current Net Asset Value of the fund. They are estimates for the next 12 months, assuming that the fund’s portfolio remains unchanged and there are no defaults or deferrals of coupon payments or unscheduled capital repayments. They are not guaranteed.

    The Distribution Yield reflects the amounts that may be expected to be distributed over the next twelve months as a percentage of the mid-market unit price of the fund as at the date shown. In addition to expected cash income, it includes the amortised annual value of unrealised capital gains / losses of current bond holdings, calculated with reference to their historic purchase price and expected redemption value. It does not include any preliminary charge and investors may be subject to tax on distributions.

    The Historic Yield reflects distributions declared over the past twelve months as a percentage of the mid-market price, as at the date shown. It does not include the preliminary charge and investors may be subject to tax on their distributions.

    If the fund’s expenses were charged to capital distributions would be increased and the fund’s capital performance constrained by an equivalent extent.

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