BlackRock European Dynamic Fund D Income GBP/  GB00B8440Z89  /

Fonds
NAV2024-07-19 Chg.-0.1229 Type of yield Investment Focus Investment company
9.8250GBP -1.24% paying dividend Equity Europe BlackRock F.A. 

Investment strategy

The investment strategy of the Fund is deemed by the Manager to be constrained. Units in this Class are not available to buy until further notice except at the discretion of the Manager (you can still sell your units daily). The Fund aims to provide a return on your investment (generated through an increase in the value of the assets held by the Fund) over the long term (5 or more consecutive years beginning at the point of investment). The Fund invests at least 70% of its total assets in the equity securities (e.g. shares) of companies incorporated or listed in Europe, but excluding the United Kingdom. Depending on market conditions, the Fund will invest in equity securities of companies that are, in the opinion of the investment adviser(IA) , undervalued (i.e. their share price does not reflect their underlying worth) or have good growth potential. The IA may use derivatives to reduce risk within the Fund"s portfolio, reduce investment costs and generate additional income. The Fund is actively managed and the IA has discretion to select the Fund's investments. In doing so, the IA will refer to the FTSE World Europe ex-UK Index (the "Index") when constructing the Fund"s portfolio, and also for risk management purposes to ensure that the active risk (i.e. degree of deviation from the index) taken by the Fund remains appropriate given the Fund"s investment objective and policy. The IA is not bound by the components or weighting of the Index when selecting investments. The IA may also use its discretion to invest in securities not included in the Index in order to take advantage of specific investment opportunities. However, the geographical scope of the investment objective and policy may have the effect of limiting the extent to which the portfolio holdings will deviate from the Index. The Index should be used by unitholders to compare the performance of the Fund.
 

Investment goal

The investment strategy of the Fund is deemed by the Manager to be constrained. Units in this Class are not available to buy until further notice except at the discretion of the Manager (you can still sell your units daily). The Fund aims to provide a return on your investment (generated through an increase in the value of the assets held by the Fund) over the long term (5 or more consecutive years beginning at the point of investment). The Fund invests at least 70% of its total assets in the equity securities (e.g. shares) of companies incorporated or listed in Europe, but excluding the United Kingdom. Depending on market conditions, the Fund will invest in equity securities of companies that are, in the opinion of the investment adviser(IA) , undervalued (i.e. their share price does not reflect their underlying worth) or have good growth potential.
 

Master data

Type of yield: paying dividend
Funds Category: Equity
Region: Europe
Branch: Mixed Sectors
Benchmark: FTSE World Europe ex-UK Index
Business year start: 02-29
Last Distribution: 2024-03-01
Depository bank: The Bank of New York Mellon
Fund domicile: United Kingdom
Distribution permission: -
Fund manager: Giles Rothbarth
Fund volume: -
Launch date: 2013-02-28
Investment focus: -

Conditions

Issue surcharge: 0.00%
Max. Administration Fee: 0.75%
Minimum investment: 100,000.00 GBP
Deposit fees: 0.60%
Redemption charge: 0.00%
Key Investor Information: Download (Print version)
 

Investment company

Funds company: BlackRock F.A.
Address: -
Country: United States of America
Internet: -
 

Assets

Stocks
 
97.86%
Cash and Other Assets
 
2.12%
Others
 
0.02%

Countries

France
 
19.84%
Netherlands
 
16.50%
Denmark
 
16.12%
Switzerland
 
9.50%
Germany
 
8.92%
Italy
 
5.80%
United States of America
 
5.25%
Ireland
 
4.78%
Sweden
 
4.75%
United Kingdom
 
4.44%
Others
 
4.10%

Branches

Consumer goods, cyclical
 
23.59%
Industry
 
23.55%
IT/Telecommunication
 
15.63%
Healthcare
 
14.50%
Finance
 
13.14%
Commodities
 
7.47%
Cash / other assets
 
2.12%