Active Portfolio

 
Fund Manager Photo - Mark Harris <br><b>Co-manager </b>      Craig Heron
Fund managerMark Harris
Co-manager       Craig Heron
Fund typeFunds of funds
Fund objective
To achieve capital growth by investing in markets in both the UK and overseas.

Fund facts (at 31 March 2008)
S&P fund rating:
(click logo to view PDF report)
S&P 'AA' Rating
OBSR rating:
(updated quarterly)
OBSR 'AA' fund rating
Fund size: £301.07m
Launch date: 17 June 1996
IMA sector: Active Managed
XD date: 1 February,
1 August
Distribution date/income allocation date: 31 May,
30 November
SEDOL numbers: 3141359
Bloomberg code: PTFPERA LN
Minimum lump sum: £1,000
Minimum subsequent monthly payments: £100
Regular payments (per month): £100 (£50 per fund)
Initial charge: 5.00%
Annual charge: 1.50%



Past performance is not necessarily a guide to future performance.


Related Documents

Fund factsheet Active Portfolio
Annual report Portfolio Investment OEIC Annual Report
Interim report Portfolio Investment OEIC Interim Report.
Funds of funds range brochure

Application forms

For application forms and the simplified prospectus, please visit our literature library.

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webdirectcontact@newstaram.com
Dealing
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Administration
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