PRODUCTS

European Growth Fund LIONTRUST EUROPEAN GROWTH FUND

A unit trust managed for long-term capital growth through investment in a concentrated portfolio of European equities.

Liontrust European Growth Fund (formerly Continental Europe Fund), a UK authorised unit trust, is managed by Gary West & James Inglis-Jones in accordance with their equity investment process, The Cashflow Solution. It invests in companies with strong cash flows we believe which are likely to beat investors’ low profit expectations.

The Fund holds a concentrated portfolio of broadly equally weighted stocks. This concentration could mean that the Fund will be volatile when compared with its benchmark. There are no limits on geographical or industrial sector exposure; its geographical or industrial sector exposure will not closely mirror that of the benchmark.

The Funds are valued daily at 12 noon on a forward basis; purchases and sales of units are effected at the next valuation point following receipt of instructions. The prices shown below are as at the most recent valuation point and are therefore not a precise indication of what you may receive if you were to undertake a transaction now. The offer price is the price at which you would have bought units and the bid price is the price at which you would have sold them.

* Please refer to the Liontrust Umbrella Fund plc Prospectus for details of valuation points for the Dublin OEICs. The price shown is the NAV per share.  

Fund NameDate of PriceCancellation PriceCreation PriceBid PriceOffer PriceYield (%)Fund Size
Asia Fund GBP * 16-Mayn/an/a11.3911.96n/a£11m
Asia Fund USD * 16-Mayn/an/a10.2310.74n/a
Asia Fund EUR * 16-Mayn/an/a11.3611.93n/a
Asia Income(R) 1 18-May87.8489.0287.8493.470.00£3m
Asia Income (I) 1 18-May92.3693.6092.3693.600.00
Dynamic Income Fund (R) 18-May5.12045.16295.12045.42105.7900n/a
Emerging Markets Absolute Return Fund USD * 16-Mayn/an/a9.8510.35n/a£10m
Emerging Markets Absolute Return Fund EUR * 16-Mayn/an/a9.6010.08n/a
Emerging Markets Absolute Return Fund SEK * 16-Mayn/an/a71.0574.60n/a
Emerging Markets Absolute Return Fund NOK * 16-Mayn/an/a56.1258.93n/a
Emerging Markets Absolute Return Fund GBP * 16-Mayn/an/a9.509.97n/a
European Absolute Alpha Fund GBP 16-Mayn/an/a9.409.40n/a£6m
European Absolute Alpha Fund EUR 16-Mayn/an/a9.389.38n/a
European Absolute Alpha Fund CHF 16-Mayn/an/a9.379.37n/a
European Absolute Alpha Fund USD 16-Mayn/an/a9.399.39n/a
European Absolute Return Fund (R) 18-May93.9594.6593.9599.380.00£42m
European Absolute Return Fund (I) 18-May94.1094.8094.1094.800.00
European Growth Fund (R) 18-May100.85101.53100.85106.611.48£49m
European Growth Fund (I) 18-May101.27101.96101.27101.961.74
FTSE 100 Tracker 18-May158.95160.35158.95160.352.90£47m
First Equity Fund (R) 18-May8.50098.59988.50099.02971.4900n/a
Income Fund (R) 1 18-May116.92117.89116.92123.795.83£278m
Income Fund (I) 1 18-May118.64119.62118.64119.625.78
Pan European Fund USD * 16-Mayn/an/a11.2111.77n/a£11m
Pan European Fund EUR * 16-Mayn/an/a11.0211.57n/a
Pan European Fund GBP * 16-Mayn/an/a9.8410.33n/a
Special Situations Fund (R) 18-May198.35201.45198.35211.520.50£364m
Special Situations Fund (I) 18-May200.96204.10200.96204.100.50
UK Growth Fund (R)
18-May238.07240.84238.07252.881.51£163m
UK Growth Fund (I) 18-May240.63243.43240.63243.431.79
UK Smaller Companies Fund 18-May470.45489.91470.45514.410.30£94m

Notes:

 

The Fund Size is calculated on a bid basis.

 

The Historic Yield reflects distributions declared over the past 12 months as a percentage of the mid-market unit price.  It does not include any preliminary charge and investors may be subject to tax on their distributions.

 

R = Price for Retail units

I = Price for Institutional units

 

1A portion of the Income Fund's expenses are charged to capital.  This has the effect of increasing the distribution for the year by 1.5 percentage points and constraining the fund's capital performance to an equivalent extent. 

  

 

Benchmark Index FTSE All-World Developed Europe ex-UK Index
IMA Sector / Peer Group IMA Europe ex-UK 
Manager Gary West & James Inglis-Jones
Launch Date 15/11/2006
Managed by current Manager since Launch
Sedol Code  B1GKBD0
ISIN Number GB00B1GKBD09
Bloomberg Code LTCNEUR LN
Interim Report Date 31 October
Annual Report Date 30 April
Ex-Dividend Date 1 May
Distribution Date 30 June
Minimum Investment - Unit Trust (Initial) £1,000 
Minimum Investment - Unit Trust (Additional) £1,000
Minimum Investment - ISA (Initial) £1,000
Minimum Investment - ISA (Additional) £1,000
Regular Savings - ISA Min. £50 per month
Initial Charge 5%
Annual Management Fee 1.5% 
Fund Type Unit Trust (UCITS)