Investments

Explore our Funds

Past performance does not predict future returns
237 share classes shown
As at 04/04/2025
Annualised Returns as of 31/03/2025
Fund Costs
Fund Name
Inception Date
NAV
1 Yr
2 Yr
3 Yr
4 Yr
5 Yr
10 Yr
Since Inception
Annual Management Charge
Ongoing Charges Figure (UCITS)
20/06/2006
£29.79
9.09%
9.46%
6.76%
8.00%
13.05%
6.22%
6.27%
0.15%
0.22%
20/06/2006
£16.51
9.17%
9.48%
6.76%
8.02%
13.06%
6.22%
6.27%
0.15%
0.22%
14/01/2004
£49.53
-0.23%
4.20%
0.29%
0.35%
9.56%
4.12%
8.07%
0.40%
0.46%
14/01/2004
£30.69
-0.26%
4.19%
0.29%
0.35%
9.56%
4.12%
8.06%
0.40%
0.46%
14/01/2004
£34.43
15.37%
12.96%
9.23%
10.48%
16.56%
5.96%
6.38%
0.27%
0.34%
14/01/2004
£17.66
15.35%
12.98%
9.23%
10.48%
16.56%
5.96%
6.37%
0.27%
0.34%
06/04/2004
€48.52
6.03%
8.49%
3.82%
4.18%
13.61%
6.09%
8.23%
0.40%
0.47%
16/08/2011
€25.21
6.00%
8.49%
3.83%
4.17%
13.61%
6.09%
9.91%
0.40%
0.47%
07/04/2005
£44.30
3.82%
5.86%
3.62%
3.76%
12.29%
7.63%
8.74%
0.40%
0.47%
27/04/2005
£34.38
3.83%
5.88%
3.63%
3.77%
12.28%
7.63%
9.02%
0.40%
0.47%
26/02/2004
$42.10
6.27%
8.33%
3.04%
2.09%
13.17%
6.15%
7.40%
0.40%
0.47%
02/12/2011
$21.55
6.26%
8.32%
3.03%
2.08%
13.16%
6.15%
8.73%
0.40%
0.47%
13/09/2007
€19.37
15.69%
15.88%
13.52%
12.64%
19.90%
6.24%
4.45%
0.27%
0.33%
16/08/2011
€19.81
15.67%
15.89%
13.52%
12.64%
19.92%
6.25%
9.22%
0.27%
0.33%
20/05/2008
£22.21
13.28%
13.08%
13.30%
12.20%
18.50%
7.78%
5.84%
0.27%
0.33%
19/02/2009
£26.01
13.32%
13.10%
13.31%
12.20%
18.51%
7.79%
10.06%
0.27%
0.33%
12/09/2007
$15.28
15.94%
15.69%
12.66%
10.38%
19.45%
6.31%
2.98%
0.27%
0.33%
14/03/2013
$13.64
15.91%
15.69%
12.67%
10.38%
19.44%
6.29%
6.65%
0.27%
0.33%
03/09/2008
€42.18
4.62%
13.18%
7.11%
8.93%
16.55%
8.43%
9.78%
0.22%
0.26%
20/06/2011
€31.35
4.61%
13.17%
7.11%
8.93%
16.55%
8.43%
11.13%
0.22%
0.26%
03/09/2008
£42.45
2.45%
10.43%
6.90%
8.49%
15.18%
10.00%
9.96%
0.22%
0.26%
03/09/2008
£33.75
2.46%
10.44%
6.90%
8.49%
15.19%
10.00%
9.90%
0.22%
0.26%
15/01/2025
¥871.84
0.22%
0.26%
21/09/2016
¥2,950.11
3.88%
20.11%
13.96%
15.15%
24.08%
15.08%
0.22%
0.26%
27/06/2014
¥2,511.40
3.90%
20.12%
13.96%
15.15%
24.08%
10.94%
11.84%
0.22%
0.26%
28/11/2014
kr28.05
-1.53%
11.21%
8.70%
10.57%
16.47%
10.18%
11.52%
0.22%
0.26%
25/07/2017
S$34.61
4.32%
13.54%
5.99%
6.70%
14.79%
8.69%
0.22%
0.26%
03/09/2008
$31.88
4.85%
13.01%
6.30%
6.74%
16.08%
8.49%
7.86%
0.22%
0.26%
14/03/2013
$21.48
4.86%
13.03%
6.32%
6.74%
16.09%
8.50%
9.00%
0.22%
0.26%
26/06/2013
€31.70
4.95%
14.17%
7.59%
8.86%
16.60%
8.92%
11.30%
0.22%
0.27%
26/06/2013
€27.42
5.00%
14.18%
7.60%
8.86%
16.61%
8.92%
11.30%
0.22%
0.27%
26/06/2013
£31.72
2.81%
11.42%
7.39%
8.43%
15.24%
10.50%
11.16%
0.22%
0.27%
26/06/2013
£27.25
2.84%
11.43%
7.39%
8.43%
15.23%
10.50%
11.16%
0.22%
0.27%
28/05/2020
¥2,101.11
4.25%
21.18%
14.48%
15.09%
20.77%
0.22%
0.27%
04/11/2019
kr18.02
2.00%
14.29%
13.32%
12.34%
16.41%
13.02%
0.22%
0.27%
25/11/2020
kr15.54
-1.21%
12.19%
9.19%
10.49%
13.11%
0.22%
0.27%
06/10/2021
S$21.88
4.67%
14.55%
6.47%
5.32%
0.22%
0.27%
26/06/2013
$26.66
5.21%
14.01%
6.78%
6.68%
16.14%
8.99%
9.56%
0.22%
0.27%
26/06/2013
$23.03
5.20%
14.00%
6.78%
6.67%
16.14%
8.98%
9.56%
0.22%
0.27%
01/10/2024
€9.00
0.27%
0.37%
01/10/2024
€9.01
0.27%
0.37%
01/10/2024
£9.19
0.27%
0.37%
01/10/2024
£9.18
0.27%
0.37%
19/04/2011
€30.97
-0.70%
7.72%
2.92%
4.27%
14.86%
6.26%
9.24%
0.33%
0.38%
13/07/2012
€24.74
-0.67%
7.73%
2.91%
4.27%
14.86%
6.26%
9.64%
0.33%
0.38%
31/03/2011
£29.18
-2.72%
5.13%
2.72%
3.85%
13.52%
7.80%
8.62%
0.33%
0.38%
15/04/2011
£24.89
-2.73%
5.14%
2.72%
3.85%
13.52%
7.80%
8.76%
0.33%
0.38%
31/03/2011
$23.43
-0.43%
7.59%
2.14%
2.18%
14.42%
6.32%
6.95%
0.33%
0.38%
04/08/2015
$14.78
-0.49%
7.56%
2.13%
2.18%
14.40%
6.53%
0.33%
0.38%
12/05/2008
€32.41
1.06%
9.88%
5.31%
7.19%
18.82%
6.23%
7.93%
0.40%
0.44%
02/05/2012
€24.62
1.07%
9.88%
5.31%
7.19%
18.84%
6.24%
9.49%
0.40%
0.44%
18/03/2008
£37.25
-1.04%
7.20%
5.10%
6.76%
17.44%
7.77%
8.91%
0.40%
0.44%
05/09/2008
£29.90
-1.02%
7.22%
5.10%
6.75%
17.44%
7.77%
8.79%
0.40%
0.44%
25/09/2018
¥1,682.73
0.36%
16.60%
12.04%
13.33%
26.52%
10.36%
0.40%
0.44%
04/11/2019
kr16.28
-1.84%
9.96%
10.92%
10.61%
18.64%
11.07%
0.40%
0.44%
28/11/2014
kr23.17
-4.86%
7.97%
6.87%
8.79%
18.74%
7.95%
9.54%
0.40%
0.44%
25/07/2017
S$27.71
0.79%
10.23%
4.20%
5.00%
17.02%
5.68%
0.40%
0.44%
06/02/2008
$24.30
1.32%
9.72%
4.52%
5.04%
18.36%
6.29%
5.94%
0.40%
0.44%
02/12/2011
$22.45
1.30%
9.72%
4.52%
5.04%
18.36%
6.29%
8.38%
0.40%
0.44%
07/11/2023
€10.87
0.92%
14.58%
0.40%
0.50%
07/11/2023
€10.73
0.99%
14.64%
0.40%
0.50%
07/11/2023
£10.62
-1.19%
11.44%
0.40%
0.50%
07/11/2023
£10.49
-1.12%
11.56%
0.40%
0.50%
09/04/2024
kr8.83
0.40%
0.50%
07/11/2023
$11.12
1.16%
15.53%
0.40%
0.50%
05/08/2016
€19.12
5.29%
13.78%
8.47%
10.45%
17.86%
9.24%
0.27%
0.32%
25/08/2016
£19.11
3.17%
11.05%
8.28%
10.01%
16.49%
9.10%
0.27%
0.32%
25/08/2016
£16.23
3.12%
11.06%
8.26%
10.01%
16.48%
9.10%
0.27%
0.32%
22/11/2023
$11.16
5.62%
17.23%
0.27%
0.32%
24/09/2007
£43.65
1.09%
10.81%
6.19%
8.47%
15.11%
10.27%
9.16%
0.22%
0.27%
24/09/2007
£33.07
1.09%
10.81%
6.19%
8.47%
15.12%
10.28%
9.16%
0.22%
0.27%
25/02/2004
£47.10
1.54%
10.39%
6.66%
8.80%
15.59%
8.37%
7.94%
0.27%
0.33%
25/02/2004
£32.49
1.54%
10.39%
6.66%
8.81%
15.59%
8.37%
7.94%
0.27%
0.33%
31/03/2023
£11.36
1.71%
11.89%
11.89%
0.17%
0.20%
28/01/2022
S$22.67
3.56%
15.01%
6.70%
7.29%
0.17%
0.20%
30/09/2015
$25.81
4.08%
14.47%
7.03%
7.98%
18.41%
11.67%
0.17%
0.20%
28/04/2004
€46.80
-3.83%
7.13%
3.32%
4.65%
17.77%
7.00%
8.22%
0.28%
0.36%
07/04/2005
£57.73
-5.82%
4.54%
3.12%
4.23%
16.39%
8.55%
9.73%
0.28%
0.36%
27/04/2005
£57.79
-5.82%
4.54%
3.12%
4.24%
16.39%
8.55%
10.20%
0.28%
0.36%
22/09/2004
$44.18
-3.60%
6.97%
2.54%
2.55%
17.31%
7.06%
8.02%
0.28%
0.36%
02/12/2011
$30.17
-3.62%
6.97%
2.54%
2.55%
17.31%
7.07%
10.07%
0.28%
0.36%
01/12/2014
€16.51
4.75%
7.95%
2.62%
2.86%
11.68%
4.30%
5.51%
0.36%
0.45%
01/12/2014
€13.15
4.79%
7.97%
2.62%
2.87%
11.70%
4.31%
5.52%
0.36%
0.45%
25/02/2004
£58.25
2.45%
5.33%
2.25%
2.37%
10.41%
5.78%
8.91%
0.36%
0.45%
25/02/2004
£39.25
2.45%
5.33%
2.25%
2.38%
10.41%
5.79%
8.91%
0.36%
0.45%
07/12/2021
€9.80
5.78%
8.00%
2.80%
1.31%
0.36%
0.51%
07/12/2021
€9.22
5.90%
8.00%
2.81%
1.32%
0.36%
0.51%
07/12/2021
£9.79
3.63%
5.42%
2.63%
0.84%
0.36%
0.51%
07/12/2021
£9.22
3.64%
5.41%
2.63%
0.83%
0.36%
0.51%
22/04/2022
¥1,147.82
5.11%
14.63%
9.54%
0.36%
0.51%
19/05/2022
kr12.36
2.82%
8.11%
8.82%
0.36%
0.51%
19/05/2022
kr11.27
-0.42%
6.17%
6.20%
0.36%
0.51%
28/01/2022
S$19.71
5.56%
8.36%
1.75%
1.09%
0.36%
0.51%
07/12/2021
$9.52
6.03%
7.88%
2.04%
0.06%
0.36%
0.51%
31/08/2016
€15.19
7.16%
8.51%
2.92%
2.88%
11.29%
5.87%
0.31%
0.37%
22/09/2016
€11.80
7.23%
8.50%
2.94%
2.90%
11.31%
5.67%
0.31%
0.37%
06/02/2018
£11.88
5.01%
5.89%
2.71%
2.47%
9.99%
3.25%
0.31%
0.37%
04/11/2019
kr14.00
4.08%
8.46%
8.29%
6.11%
11.05%
7.17%
0.31%
0.37%
25/11/2020
kr13.04
0.87%
6.59%
4.43%
4.42%
7.78%
0.31%
0.37%
25/07/2017
S$24.52
6.96%
8.87%
1.86%
0.80%
9.62%
3.46%
0.31%
0.37%
17/03/2016
$16.36
7.49%
8.37%
2.16%
0.82%
10.85%
6.30%
0.31%
0.37%
11/06/2024
$9.66
0.31%
0.37%
12/05/2008
€24.56
2.39%
8.02%
3.16%
4.73%
15.53%
4.57%
5.76%
0.57%
0.73%
20/03/2023
€10.93
2.38%
8.06%
9.05%
0.57%
0.73%
23/04/2007
£27.47
0.25%
5.42%
2.95%
4.31%
14.17%
6.09%
6.36%
0.57%
0.73%
09/07/2008
£23.70
0.29%
5.42%
2.95%
4.31%
14.18%
6.09%
7.26%
0.57%
0.73%
23/04/2007
$18.84
2.58%
7.86%
2.36%
2.63%
15.06%
4.64%
3.79%
0.57%
0.73%
10/10/2005
€28.92
6.70%
10.43%
4.54%
5.85%
13.94%
4.59%
5.94%
0.41%
0.49%
08/04/2011
€10.81
6.69%
10.40%
4.53%
5.85%
13.94%
4.59%
3.55%
0.41%
0.49%
03/01/2006
£30.03
4.49%
7.76%
4.33%
5.42%
12.61%
6.11%
6.67%
0.41%
0.49%
08/03/2006
£19.86
4.48%
7.78%
4.33%
5.42%
12.61%
6.11%
6.34%
0.41%
0.49%
21/09/2016
¥2,240.03
5.95%
17.20%
11.22%
11.90%
21.31%
10.83%
0.41%
0.49%
27/06/2014
¥1,438.29
5.98%
17.22%
11.23%
11.91%
21.32%
7.02%
7.01%
0.41%
0.49%
28/11/2014
kr19.20
0.40%
8.51%
6.09%
7.45%
13.87%
6.28%
7.03%
0.41%
0.49%
30/11/2005
$25.76
6.92%
10.26%
3.74%
3.72%
13.49%
4.65%
5.28%
0.41%
0.49%
08/09/2011
$10.24
6.92%
10.23%
3.73%
3.73%
13.48%
4.65%
3.01%
0.41%
0.49%
21/07/2005
€28.83
0.29%
5.77%
2.85%
2.31%
9.59%
4.61%
6.01%
0.40%
0.50%
08/06/2015
€12.06
0.35%
5.81%
2.87%
2.33%
9.61%
4.80%
0.40%
0.50%
07/04/2005
£35.31
-1.76%
3.22%
2.64%
1.90%
8.31%
6.13%
7.38%
0.40%
0.50%
27/04/2005
£28.44
-1.76%
3.23%
2.64%
1.90%
8.31%
6.13%
7.66%
0.40%
0.50%
05/03/2019
S$23.03
0.04%
6.14%
1.76%
0.22%
7.94%
3.63%
0.40%
0.50%
26/02/2004
$33.92
0.52%
5.62%
2.06%
0.25%
9.16%
4.66%
6.36%
0.40%
0.50%
02/12/2011
$14.41
0.54%
5.63%
2.07%
0.26%
9.16%
4.66%
5.36%
0.40%
0.50%
07/01/2025
A$9.31
0.30%
0.35%
06/01/2012
€32.82
3.48%
11.60%
5.99%
7.60%
15.84%
7.27%
10.23%
0.30%
0.35%
05/01/2012
€27.13
3.49%
11.60%
5.98%
7.61%
15.84%
7.27%
10.25%
0.30%
0.35%
09/09/2011
£35.58
1.36%
8.91%
5.78%
7.18%
14.48%
8.82%
10.51%
0.30%
0.35%
01/03/2023
£11.36
3.66%
11.80%
11.10%
0.30%
0.35%
09/09/2011
£29.12
1.36%
8.91%
5.78%
7.18%
14.49%
8.83%
10.50%
0.30%
0.35%
17/05/2024
¥884.79
0.30%
0.35%
23/03/2016
kr24.27
-2.57%
9.66%
7.56%
9.22%
15.76%
11.43%
0.30%
0.35%
16/10/2019
kr14.03
-2.61%
9.66%
7.53%
9.20%
15.74%
9.68%
0.30%
0.35%
19/03/2018
S$29.72
3.22%
11.98%
4.89%
5.42%
14.10%
7.10%
0.30%
0.35%
03/08/2018
$14.45
3.75%
11.46%
5.18%
5.45%
15.39%
7.10%
0.30%
0.35%
10/08/2015
$16.15
3.73%
11.45%
5.19%
5.45%
15.38%
7.60%
0.30%
0.35%
28/03/2023
€11.70
4.11%
11.96%
13.56%
0.30%
0.40%
28/03/2023
€11.46
4.18%
12.00%
13.61%
0.30%
0.40%
28/03/2023
£11.33
1.99%
9.32%
10.90%
0.30%
0.40%
28/03/2023
£11.07
2.02%
9.26%
10.84%
0.30%
0.40%
17/04/2023
kr11.67
1.06%
11.87%
0.30%
0.40%
17/04/2023
kr11.04
-2.03%
10.02%
0.30%
0.40%
30/06/2011
€13.36
-1.04%
0.15%
-2.65%
-0.39%
1.23%
0.87%
2.12%
0.15%
0.21%
02/12/2011
€11.01
-1.03%
0.16%
-2.65%
-0.40%
1.23%
0.87%
2.23%
0.15%
0.21%
11/12/2018
€10.09
1.93%
3.29%
-0.69%
-2.06%
-0.61%
0.06%
0.23%
0.27%
23/03/2021
€8.34
1.93%
3.28%
-0.75%
-2.09%
-2.17%
0.23%
0.27%
11/12/2018
£10.85
3.55%
4.82%
0.75%
-0.82%
0.53%
1.21%
0.23%
0.27%
17/12/2019
£8.90
3.61%
4.80%
0.75%
-0.82%
0.53%
-0.09%
0.23%
0.27%
16/04/2020
¥874.05
-1.67%
-0.63%
-3.61%
-4.19%
-2.77%
0.23%
0.27%
11/12/2018
S$21.68
1.94%
3.41%
0.11%
-1.26%
0.21%
1.21%
0.23%
0.27%
21/10/2019
S$17.42
1.91%
3.35%
0.06%
-1.36%
0.13%
-0.31%
0.23%
0.27%
11/12/2018
$11.37
3.67%
5.15%
1.36%
-0.37%
0.97%
1.96%
0.23%
0.27%
12/12/2019
€9.38
1.74%
3.03%
-0.70%
-2.08%
-0.75%
-1.30%
0.23%
0.28%
20/03/2020
€8.94
1.59%
2.98%
-0.74%
-2.12%
-0.77%
-0.22%
0.23%
0.28%
17/12/2019
£9.94
3.24%
4.49%
0.72%
-0.87%
0.37%
-0.25%
0.23%
0.28%
28/10/2019
£8.89
3.26%
4.48%
0.73%
-0.87%
0.37%
-0.23%
0.23%
0.28%
28/05/2020
¥758.00
-1.84%
-0.86%
-3.59%
-4.18%
-3.38%
0.23%
0.28%
24/05/2021
kr9.20
1.44%
2.79%
-0.72%
-2.31%
0.23%
0.28%
06/10/2021
S$18.77
1.69%
3.14%
0.07%
-1.97%
0.23%
0.28%
03/09/2020
$9.64
3.46%
4.82%
1.32%
-0.41%
-0.96%
0.23%
0.28%
06/05/2009
CHF8.38
0.72%
0.83%
-0.85%
-2.32%
-1.82%
-1.17%
0.35%
0.21%
0.25%
25/01/2007
€12.98
3.43%
3.23%
1.00%
-0.89%
-0.61%
-0.32%
1.45%
0.21%
0.25%
02/03/2012
€8.66
3.43%
3.23%
1.00%
-0.89%
-0.61%
-0.32%
0.26%
0.21%
0.25%
16/04/2013
£11.26
4.94%
4.71%
2.55%
0.43%
0.58%
0.81%
0.99%
0.21%
0.25%
10/12/2012
£9.55
4.99%
4.71%
2.55%
0.45%
0.58%
0.81%
1.00%
0.21%
0.25%
20/12/2013
¥933.65
-0.08%
-0.56%
-1.82%
-2.89%
-2.16%
-1.04%
-0.60%
0.21%
0.25%
27/06/2014
¥778.51
-0.06%
-0.54%
-1.78%
-2.86%
-2.14%
-1.04%
-0.75%
0.21%
0.25%
12/10/2017
kr10.46
4.50%
4.00%
1.99%
0.10%
0.33%
0.60%
0.21%
0.25%
02/01/2008
kr12.01
4.47%
4.00%
1.98%
0.05%
0.31%
0.90%
2.66%
0.21%
0.25%
28/11/2014
kr9.89
3.02%
3.07%
1.07%
-0.74%
-0.42%
-0.24%
-0.11%
0.21%
0.25%
15/11/2010
kr9.39
3.12%
3.05%
1.08%
-0.73%
-0.41%
-0.24%
0.98%
0.21%
0.25%
25/07/2017
S$21.11
3.33%
3.33%
1.77%
-0.09%
0.20%
0.71%
0.21%
0.25%
28/11/2008
$14.22
5.10%
4.95%
2.98%
0.77%
0.90%
1.43%
2.18%
0.21%
0.25%
14/03/2013
$10.22
5.02%
4.94%
2.97%
0.76%
0.90%
1.45%
1.53%
0.21%
0.25%
23/02/2022
A$10.59
4.77%
4.56%
2.28%
1.74%
0.21%
0.25%
15/12/2021
€10.06
3.72%
3.85%
1.37%
0.09%
0.21%
0.25%
15/12/2021
€9.24
3.76%
3.88%
1.38%
0.08%
0.21%
0.25%
15/12/2021
£10.55
5.42%
5.35%
2.89%
1.52%
0.21%
0.25%
15/12/2021
£9.69
5.34%
5.37%
2.86%
1.50%
0.21%
0.25%
19/05/2022
kr10.06
4.79%
4.58%
2.96%
0.21%
0.25%
19/05/2022
kr10.60
3.42%
3.70%
1.95%
0.21%
0.25%
19/05/2022
$11.21
5.48%
5.64%
3.94%
0.21%
0.25%
19/05/2022
$10.35
5.44%
5.61%
3.92%
0.21%
0.25%
14/01/2004
£16.46
4.98%
4.72%
2.45%
0.37%
0.47%
0.75%
2.37%
0.21%
0.25%
03/01/2012
£11.89
4.95%
4.74%
2.44%
0.36%
0.46%
0.81%
1.31%
0.21%
0.25%
14/01/2004
£11.39
5.00%
4.74%
2.46%
0.37%
0.48%
0.76%
2.37%
0.21%
0.25%
03/01/2012
£9.829
5.00%
4.74%
2.45%
0.37%
0.48%
0.81%
1.31%
0.21%
0.25%
10/08/2015
CHF7.96
1.20%
1.21%
-0.48%
-1.65%
-0.73%
-0.78%
0.21%
0.25%
03/02/2014
€10.18
3.67%
3.57%
1.35%
-0.24%
0.46%
0.00%
0.16%
0.21%
0.25%
03/02/2014
€8.56
3.67%
3.54%
1.33%
-0.27%
0.45%
-0.02%
0.14%
0.21%
0.25%
24/01/2014
£11.44
5.25%
5.04%
2.84%
1.01%
1.62%
1.10%
1.20%
0.21%
0.25%
24/01/2014
£9.61
5.33%
5.13%
2.90%
1.07%
1.67%
1.12%
1.23%
0.21%
0.25%
23/06/2015
kr10.20
3.34%
3.46%
1.45%
-0.07%
0.70%
0.20%
0.21%
0.25%
25/07/2017
S$21.81
3.56%
3.65%
2.10%
0.51%
1.27%
1.13%
0.21%
0.25%
08/01/2014
$12.23
5.34%
5.30%
3.29%
1.38%
2.00%
1.78%
1.80%
0.21%
0.25%
08/01/2014
$10.35
5.36%
5.33%
3.30%
1.39%
2.01%
1.80%
1.82%
0.21%
0.25%
15/05/2014
€10.26
3.64%
3.65%
2.24%
1.28%
1.15%
0.24%
0.24%
0.15%
0.20%
15/05/2014
€8.88
3.51%
3.64%
2.21%
1.26%
1.13%
0.24%
0.24%
0.15%
0.20%
15/05/2009
£11.81
5.08%
5.11%
3.74%
2.57%
2.30%
1.32%
1.15%
0.15%
0.20%
15/05/2009
£9.94
5.09%
5.08%
3.73%
2.57%
2.32%
1.32%
1.15%
0.15%
0.20%
10/12/2014
kr10.40
3.28%
3.49%
2.35%
1.47%
1.36%
0.35%
0.38%
0.15%
0.20%
27/06/2022
$11.27
5.23%
5.11%
4.43%
0.15%
0.20%
18/04/2011
£14.47
-2.57%
-0.76%
-4.09%
-1.67%
-1.39%
1.16%
2.64%
0.15%
0.19%
21/09/2011
£9.87
-2.58%
-0.74%
-4.06%
-1.66%
-1.38%
1.17%
2.06%
0.15%
0.19%
25/04/2024
£10.39
0.21%
0.27%
25/04/2024
£10.25
0.21%
0.27%
07/01/2025
A$9.93
0.24%
0.31%
30/12/2015
€11.50
3.53%
5.00%
2.32%
1.41%
3.12%
1.73%
0.24%
0.31%
14/07/2020
€10.14
3.67%
5.00%
2.32%
1.42%
2.34%
0.24%
0.31%
08/10/2015
£12.86
4.39%
5.69%
3.52%
2.39%
3.83%
2.87%
0.24%
0.31%
08/10/2015
£11.35
4.36%
5.68%
3.51%
2.38%
3.83%
2.86%
0.24%
0.31%
31/10/2022
¥1,041.00
0.75%
3.25%
2.57%
0.24%
0.31%
24/03/2020
S$23.54
3.46%
5.16%
2.73%
1.65%
3.47%
3.64%
0.24%
0.31%
17/08/2018
$12.03
5.07%
6.41%
3.82%
2.41%
4.36%
3.09%
0.24%
0.31%
07/01/2025
A$9.79
0.26%
0.30%
30/12/2015
€13.40
3.73%
6.77%
3.32%
2.93%
6.25%
3.64%
0.26%
0.30%
14/07/2020
€11.14
3.76%
6.76%
3.33%
2.93%
4.85%
0.26%
0.30%
09/09/2011
£19.40
3.83%
6.65%
4.15%
3.54%
6.45%
4.31%
5.26%
0.26%
0.30%
09/09/2011
£16.11
3.79%
6.64%
4.15%
3.52%
6.44%
4.31%
5.26%
0.26%
0.30%
31/10/2022
¥1,093.96
1.55%
7.10%
5.60%
0.26%
0.30%
14/06/2021
S$20.87
3.60%
6.97%
3.38%
2.01%
0.26%
0.30%
17/07/2018
$12.78
4.84%
7.79%
4.22%
3.13%
7.09%
4.24%
0.26%
0.30%
07/01/2025
A$9.63
0.28%
0.33%
30/12/2015
€15.29
3.71%
8.42%
4.07%
4.31%
9.28%
5.36%
0.28%
0.33%
28/12/2018
€13.02
3.64%
8.37%
4.06%
4.31%
9.26%
6.83%
0.28%
0.33%
09/09/2011
£24.10
2.97%
7.40%
4.56%
4.58%
8.97%
5.86%
7.09%
0.28%
0.33%
09/09/2011
£19.85
2.95%
7.38%
4.55%
4.58%
8.97%
5.87%
7.09%
0.28%
0.33%
31/10/2022
¥1,141.03
2.01%
10.82%
8.43%
0.28%
0.33%
17/10/2019
S$25.50
3.47%
8.63%
3.73%
3.34%
8.62%
5.52%
0.28%
0.33%
17/07/2018
$13.39
4.53%
9.04%
4.41%
3.73%
9.70%
5.25%
0.28%
0.33%
07/01/2025
A$9.52
0.29%
0.35%
30/12/2015
€17.16
3.42%
10.06%
4.77%
5.79%
12.51%
6.85%
0.29%
0.35%
14/07/2020
€13.43
3.42%
10.01%
4.76%
5.80%
9.85%
0.29%
0.35%
08/10/2015
£19.88
2.03%
8.20%
4.89%
5.72%
11.67%
8.21%
0.29%
0.35%
08/10/2015
£17.07
2.01%
8.23%
4.90%
5.72%
11.69%
8.21%
0.29%
0.35%
31/10/2022
¥1,196.03
2.28%
14.64%
11.31%
0.29%
0.35%
02/03/2020
S$27.42
3.22%
10.36%
4.06%
4.25%
11.34%
7.71%
0.29%
0.35%
29/05/2018
$13.94
3.99%
10.28%
4.56%
4.46%
12.56%
5.95%
0.29%
0.35%
ie00b1w6dq92
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ie00b1w6dq92
Emerging Markets Targeted Value Fund (GBP, Dis.)

Comparative Index
MSCI Emerging Markets SMID Value Index (net div., GBP)
21.77%
Investment Objective
The investment objective of the Emerging Markets Targeted Value Fund ("Fund") is to maximise long-term total return. A fuller statement of the investment policy is available in the prospectus and KIIDs.

Risks include loss of principal and fluctuating value. Small cap securities are subject to greater volatility than those in other asset categories. Value investing is subject to risk which may cause underperformance compared to other equity investment strategies. Investing outside the country you live may involve special risks such as currency fluctuation and political instability. Investing in emerging markets may accentuate these risks. For more detail about the risks related to an investment in the Fund, please see the corresponding KIID and prospectus and in particular "Special Considerations and Risk Factors".
Asset Allocation
as of 31/03/2025
A pie chart representing Asset Allocation0.01%International Equity99.99%Emerging Equity
Fees and Expenses
as of 31/03/2025
Annual Management Charge
0.57%
Ongoing Charges Figure (UCITS)
0.73%
The ongoing charges figure is based on expenses for the year ending November 2024. It may vary from year to year. It excludes portfolio transaction costs and performance fees, if any.

Documents


Equity Characteristics

100%100%100%100%100%100%100%100%100%100%100%100%100%100%100%100%100%100%100%100%100%
4,214
Number of Companies
£2,989
Weighted Average Total Market Capitalisation (millions)
0.92
Aggregate Price-To-Book
0.16
Weighted Average Profitability
Equity Allocation by Sector
as of 31/03/2025
Table for Equity Allocation by Sector as of 31/03/2025
Communication Services2.74%
Consumer Discretionary11.46%
Consumer Staples5.66%
Energy3.45%
Financials16.37%
Health Care7.20%
Industrials16.37%
Information Technology12.53%
Materials16.47%
Real Estate5.65%
REITs<0.01%
Utilities2.10%
Other<0.01%
A bar chart representing Equity Allocation by Sector as of 31/03/2025CommunicationServicesConsumerDiscretionaryConsumer StaplesEnergyFinancialsHealth CareIndustrialsInformationTechnologyMaterialsReal EstateREITsUtilitiesOther2%4%6%8%10%12%14%16%18%2.74%11.46%5.66%3.45%16.37%7.20%16.37%12.53%16.47%5.65%<0.01%2.10%<0.01%
Equity Allocation by Country
as of 31/03/2025
Developed
A bar chart representing Equity Allocation by Country as of 31/03/2025Hong Kong2%4%6%8%10%12%14%16%18%20%22%24%26%28%0.01%
Table for Equity Allocation by Country as of 31/03/2025
Hong Kong0.01%
Emerging
A bar chart representing Equity Allocation by Country as of 31/03/2025ChinaIndiaTaiwanKoreaSaudi Arabia2%4%6%8%10%12%14%16%18%20%22%24%26%28%26.70%20.95%17.63%10.67%3.91%
Table for Equity Allocation by Country as of 31/03/2025
China26.70%
India20.95%
Taiwan17.63%
Korea10.67%
Saudi Arabia3.91%
Top Equity Holdings by Company
as of 31/03/2025
  • Company Name
    Weight
  • Geely Automobile Holdings Ltd
    0.89%
  • China Mengniu Dairy Co Ltd
    0.53%
  • China Overseas Land & Investment Ltd
    0.51%
  • Cemex SAB de CV
    0.45%
  • Vipshop Holdings Ltd
    0.43%
  • ZTO Express Cayman Inc
    0.41%
  • China Hongqiao Group Ltd
    0.40%
  • CSPC Pharmaceutical Group Ltd
    0.37%
  • Chailease Holding Co Ltd
    0.37%
  • Localiza Rent a Car SA
    0.37%

Performance

as of 31/03/2025, in GBP
Calendar Year Returns
as of 31/03/2025
30%20%10%0%-10%
A bar chart representing Calendar Year Returns as of 31/03/202530%20%10%0%-10%-10.78%33.73%24.67%-11.63%5.58%6.50%15.63%-1.50%10.68%5.51%-9.88%29.36%21.05%-10.56%6.60%5.54%14.65%-1.58%13.09%5.54%2015201620172018201920202021202220232024
Periodic Performance: Annualised Returns
as of 31/03/2025
3 Months
1 Year
2 Years
3 Years
4 Years
5 Years
10 Years
Since Inception
09/07/2008
Emerging Markets Targeted Value Fund (GBP, Dis.)
-3.24%
0.29%
5.42%
2.95%
4.31%
14.18%
6.09%
7.26%
MSCI Emerging Markets SMID Value Index (net div., GBP)
-4.23%
-0.18%
7.04%
3.85%
4.98%
13.49%
5.55%
7.30%

Distributions

Record Date
Ex-Date
Payable Date
Type
Rate Per Share
27/11/2024
29/11/2024
06/12/2024
Dividend
£0.46060
30/05/2024
31/05/2024
07/06/2024
Dividend
£0.09985
29/11/2023
30/11/2023
07/12/2023
Dividend
£0.42356
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The information provided on this website is not intended for distribution to, or use by, any person or entity in any jurisdiction or country where such distribution or use would be contrary to law or regulation or which would subject Dimensional Fund Advisors Ltd. or its affiliates (collectively, “Dimensional”) to any registration or licensing requirements within such jurisdiction. 

The information provided herein is provided in good faith and without any warranty or, representation as to accuracy or completeness. Information and opinions presented in this material have been obtained or derived from sources believed by Dimensional to be reliable and Dimensional has reasonable grounds to believe that all factual information herein is true as of the date indicated. It does not constitute investment advice, recommendation, or an offer of any services or products for sale and is not intended to provide a sufficient basis on which to make an investment decision. It is the responsibility of any persons wishing to make a purchase to inform themselves of and observe all applicable laws and regulations. Unauthorized reproduction or transmitting of this material is strictly prohibited. Dimensional accepts no responsibility for loss arising from the use of the information contained herein. 

Nothing on this website constitutes investment advice, recommendation, or an offer of any services or products for sale and it is not intended to provide a sufficient basis on which to make an investment decision. The information contained on this website may not be treated as an offer or solicitation: 

(i) in any jurisdiction where such an offer or solicitation is contrary to local law. 

(ii) to anyone to whom it is unlawful to make such an offer or solicitation. 

(iii) if the person making the offer or solicitation is not qualified to do so. 

Nor shall this website form the basis of, or be relied on in connection with, any contract for shares, units or other interests. 

Fund Centre 

It is the responsibility of any persons wishing to make a purchase to inform themselves of and observe all applicable laws and regulations. Past performance does not predict future returns. There is no guarantee strategies will be successful. If you are in any doubt about the information contained on this website, please call us on 44 (0)203 033 3300. 
 
Please read the section of this website headed "Terms of Use
 
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IMPORTANT REGULATORY INFORMATION 

Dimensional Fund Advisors Ltd. (Dimensional UK) is registered in England and Wales under Company No. 02569601 and VAT No. 278309669. DFAL is a subsidiary of Dimensional Fund Advisors LP, a separate but affiliated entity. 

Contact details of Dimensional UK: 

Registered office address: 20 Triton Street, Regent's Place, London, NW1 3BF, United Kingdom 

Telephone: 44 (0)203 033 3300 

Facsimile: 44 (0)203 033 3324 

Email: EMEAmailbox@dimensional.com 

Website: www.dimensional.com 

Dimensional UK is authorised and regulated by the Financial Conduct Authority (FCA) whose contact details are: 

Address:12 Endeavour Square, London, E20 1JN, United Kingdom 

Telephone: 0800 111 6768 (freephone) or 0300 500 8082 (UK) or 44 (0)207 066 1000 (outside of the UK) 

Website: https://www.fca.org.uk/ 

Dimensional UK’s FCA firm reference number is 150100 and its regulatory status can be confirmed on the FCA website at http://register.fca.org.uk