Investec Global Strategy Fund

Fund NameShare ClassISINNAV Price12 Mth Hi12 Mth LoChangeDateYieldXD
Bond
Global Bond Fund A Acc Gross USDLU0345761810101.670096.77000.1900+18/05/121.05N
A Inc Gross USDLU034576220646.980044.52000.0900+18/05/121.07N
D Inc Gross USDLU034576246147.270044.84000.0800+18/05/120.57N
Currency
Managed Currency Fund A Acc Gross USDLU0345760846140.2600128.2000-0.3600-18/05/120.00N
A Inc Gross USDLU034576122437.840034.5900-0.1000-18/05/120.00N
Equity
American Equity Fund A Acc Gross USDLU034577439118.510013.1200-0.5100-18/05/120.00N
A Inc Gross USDLU034577463186.510061.3100-2.4000-18/05/120.00N
Asian Equity Fund A Acc Gross USDLU034577595020.920015.1300-0.4800-18/05/120.49N
A Inc Gross USDLU034577625530.810022.2900-0.6900-18/05/120.44N
Continental European Equity Fund A Acc Gross EURLU044069458525.270018.7200-0.5500-18/05/120.96N
A Acc Gross USDLU034577714715.870010.9700-0.3300-18/05/120.98N
A Inc Gross USDLU0345777659383.2900265.0300-7.6900-18/05/121.00N
D Inc Gross USDLU0345777816373.0500257.5000-7.4900-18/05/120.43N
Global Dynamic Fund A Acc Gross USDLU0345772692104.650077.7400-2.3400-18/05/120.00N
A Inc Gross USDLU0345773070103.860077.1600-2.3200-18/05/120.00N
Global Equity Fund A Acc Gross USDLU0345769128240.6500181.3700-5.9600-18/05/120.00N
A Inc Gross USDLU0345769631238.6300179.8500-5.9000-18/05/120.00N
Global Franchise Fund A Acc Gross USDLU042641294531.070025.7600-0.5700-18/05/120.75N
A Inc Gross USDLU042641758930.730025.6700-0.5800-18/05/120.77N
C Acc Gross USDLU044069431226.370021.9700-0.5000-18/05/120.00N
C Inc Gross USDLU044069440326.260021.8800-0.4900-18/05/120.00N
F Acc Gross USDLU042641863730.530025.3700-0.5700-18/05/120.42N
S Acc Gross USDLU042642436132.680026.8200-0.6100-18/05/122.46N
S Inc Gross USDLU042642525130.960026.0700-0.5700-18/05/122.52N
Global Strategic Equity Fund A Acc Gross USDLU034577030816.690012.2100-0.4000-18/05/120.00N
A Inc Gross USDLU034577099390.790066.3900-2.1700-18/05/120.00N
D Inc Gross USDLU034577129887.990064.2500-2.0900-18/05/120.00N
UK Equity Fund A Acc Gross GBPLU034577501810.83008.7400-0.3200-18/05/121.57N
A Inc Gross GBPLU034577536461.140049.5400-1.7500-18/05/121.60N
Fixed Income & Cash
Euro Money Fund A Acc Gross EURLU034575991369.067768.85570.0004+18/05/120.00N
A Inc Gross EURLU034576025926.187926.10750.0002+18/05/120.00N
D Acc Gross EURLU034576009368.289968.1490-0.0002-18/05/120.00N
D Inc Gross EURLU034576041626.095126.03870.0000-/+18/05/120.00N
Sterling Money Fund A Acc Gross GBPLU034575916056.507656.29850.0059+18/05/120.20N
A Inc Gross GBPLU03457595909.98169.95740.0010+18/05/120.20N
US Dollar Money Fund A Acc Gross USDLU034575827965.593465.49090.0005+18/05/120.20N
A Inc Gross USDLU034575878220.076920.05230.0002+18/05/120.20N
D Acc Gross USDLU034575843664.718564.69420.0000-/+18/05/120.05N
D Inc Gross USDLU034575894920.086820.07270.0000-/+18/05/120.05N
Multi Asset
Global Strategic Managed Fund A Acc Gross USDLU0345768153101.620085.7500-1.2800-18/05/120.16N
A Inc Gross USDLU034576874044.490037.5400-0.5600-18/05/120.18N
D Acc Gross USDLU034576831096.790081.6000-1.2200-18/05/120.00N
D Inc Gross USDLU034576904544.250037.3100-0.5600-18/05/120.00N