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Money Market Fund GBP - GBP


08 May 2021


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Investment objective

The fund aims to achieve a return in line with GBP money market rates by assuming a relatively low level of risk. The primary objective is to provide a high level of capital protection by investing primarily in cash deposits of highly-ranked banking institutions. The fund may also invest a proportion of its assets in short-dated investment grade bonds and other money market instruments. The fund is denominated in GBP.

 
Risk and reward indicator
Lower risk Higher risk
Typically lower rewards Typically higher rewards
 
1 2 3 4 5 6 7
The risk scale is based on Ancoria’s internal calculation methodology.
 
Key facts
Swedish fund name: Penningmarknadsfond GBP
Category: Money Market Fund
Trade currency: GBP
Base currency: GBP
Fund start date: 08/02/2016
Initial unit price: 100 GBP / 127.4694 EUR *
Minimum payment amount: -
Fund manager: Ancoria Insurance Public Ltd
Trading frequency: Daily
Dealing deadline: 1.00 p.m. Cyprus time on the business day prior to the relevant valuation day.
Surrender: Within 10 days
Annual management fee: 0.25 %

* calculated based on GBP/EUR exchange rate on 10/02/2016

 
Performance
Period1month3months6monthsYTD20202019201820172016
%-0.05-0.11-0.15-0.140.260.43-0.03-0.15-0.17 *
* Calculated from fund's start date 08/02/2016

 
Asset allocation
Cash & Cash equivalents  100.00%

 
Largest holdings
Aberdeen Standard – ASI Sterling Money Market Fund  48.85%
Royal London Cash Plus M Inc Fund  48.78%

Disclaimer
This document is intended for information purposes only. It does not in any way constitute an offer to sell, or a solicitation of any offer to buy units of this fund. Nothing in this document should be construed as an advice or a recommendation for the purchase or sale of any financial instrument. Investors should independently evaluate the embedded risks without solely relying on the information provided herein and should consult their own legal, tax and financial advisers where they render necessary. Performance data provided is based upon NAV net of management fees. Past performance is no guarantee of future performance. Investment return and principal value may go down as well as up and could result in a significant loss of the capital invested. Information on this document has been obtained from sources believed to be reliable and its accuracy or completeness cannot be guaranteed.