• Managed Portifolio Trust - NEW BANNER
  • The Trust invests in underlying investment companies providing a good level of diversification by underlying management style, geography, sector and company. It has two Portfolios; the Income Portfolio and the Growth Portfolio.

    The objective for the Income Portfolio is to provide investors with an attractive level of income, with the potential for income and capital growth. Income dividends are paid quarterly.

    The objective for the Growth portfolio is to provide investors with capital growth.

  • How to Invest

    Open an F&C Savings Plan

    Call: 0800 136 420

    Invest online now

  • Share price (Growth)

    163.00p3.00p

    28 September 2016

  • Share price (Income)

    126.00p2.00p

    28 September 2016

Objective & policy

  • The Company's investments are managed in two separate portfolios; the Income Portfolio and the Growth Portfolio, to which the Income shares and the Growth shares are respectively entitled.

    The investment objective for each portfolio is:

    Income Portfolio

    To provide Income shareholders with an attractive level of income with the potential for income and capital growth from a diversified portfolio of investment companies.

    Growth Portfolio

    To provide Growth shareholders with capital growth from a diversified portfolio of investment companies.

    The benchmark index for both the Income Portfolio and the Growth Portfolio is the FTSE All-Share Index.

    The Income Portfolio will invest in a diversified portfolio of at least 25 investment companies:

    • that have underlying investment exposures across a range of geographic regions and sectors.
    • that focus on offering an income yield above the yield of the FTSE All-Share Index.

    The Growth Portfolio will invest in a diversified portfolio of at least 25 investment companies:

    • that have underlying investment exposures across a range of geographic regions and sectors.
    • the focus of which will be to maximise total returns, principally through capital growth.

    The Company invests principally in closed ended investment companies, wherever incorporated, which are listed on the Official List of the UK Listing Authority. The majority of the Company's holdings comprise equity investments although it is permitted to invest in other securities issued by investment companies.

    • The Company is permitted to invest in other closed ended investment companies, wherever incorporated, whose shares are traded on AiM or a Regulated Exchange (other than the Official List of the UKLA) up to a maximum of 25 per cent of the total assets of the relevant Portfolio.
    • In accordance with the Listing Rules of the UK Listing Authority, the Company will not invest more than 10 per cent of its total assets in other UK listed investment companies that themselves may invest more than 15 per cent of their total assets in other UK listed investment companies.
    • There are no maximum levels set for underlying exposures to geographic regions or sectors.
    • No investment in either Portfolio may exceed 15 per cent of the relevant Portfolio's total assets at the time of the latest purchase.
    • The Manager may invest the assets of the Company in other investment companies managed by the Manager or another member of the F&C Group, provided that such investments in the Income or Growth Portfolios shall not exceed 20 per cent of the total assets of the relevant Portfolio at the time of investment.
    • There are no defined limits on securities and accordingly the Company may invest up to 100 per cent of total assets in any particular type of security.
    • The Company may use derivatives, principally, for the purpose of efficient portfolio management, including protecting the Portfolios against market falls.
    • The Company may use borrowings in either Portfolio. Borrowings are not normally expected to exceed 20 per cent of the total assets of the relevant Portfolio. Under the Company's Articles of Association the maximum borrowing limit is 50 per cent of the total assets of the relevant Portfolio.
  • Share price (Growth)

    163.00p3.00p

    28 September 2016

  • Share price (Income)

    126.00p2.00p

    28 September 2016

  • Peter Hewitt

    Peter Hewitt

    Fund Manager

Past performance is not a guide to future results. The value of investments can go down as well as up.

Information in this section of the Website is directed solely at persons who are located in the UK and can be categorised as retail clients. Nothing on this website is, or is intended to be, an offer, advice, or an invitation, to buy or sell any investments. Please read our full terms and conditions before proceeding further with any investment product referred to on this website. This website is not suitable for everyone, and if you are at all unsure whether an investment product referenced on this website will meet your individual needs, please seek advice before proceeding further with such product.

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