A measure, expressed as a percentage of NAV, of the regular, recurring costs of running an investment company.
Overview
Performance
Portfolio
Dividends
Charges
Gearing
Research
Announcements
Management
Documents
Invest
Charges
0.98
Ongoing charge date
31/03/2024
Management agreement
The Board agreed a revised fee with the Manager, FIL Investment Services (UK) Limited, with effect from 1 July 2023. The revised fee will be 0.85% (reduced from 0.90%) on the first 1.5 billion of net assets. It will remain at 0.65% on net assets over 1.5 billion. The variable element of the fee of +/-0.20% remains unchanged
Performance fee
Yes
Performance fee rate
0.2
Performance fee details
There is +/- 0.20% variation fee based on the NAV per share performance relative to the Comparative Index.
Data provided by Morningstar.
Company documents provided by FE fundinfo.