ISIN: LU1196710195
Currency: USD
18/09/2019

up 0.3974 (0.39%)

Schroder ISF Emerging Multi-Asset Income USD

Performance history ( 31/08/2019 )

Daily performance % ( 18/09/2019 )

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Daily performance
Schroder ISF Emerging Multi-Asset Income USD A Acc
Month to date 2.42
1 month 3.49
3 month 0.83
6 month -1.49
1 year 1.89
3 year 6.57
5 year 0.00

Monthly performance % ( 31/08/2019 )

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Monthly performance
Schroder ISF Emerging Multi-Asset Income USD A Acc
1 month -3.37
3 month 0.24
6 month -3.10
Year to date 2.59
1 year -2.57
3 year 3.28

Annualised performance % ( 31/08/2019 )

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Annualised performance
Schroder ISF Emerging Multi-Asset Income USD A Acc
3 year 1.08
Since launch 0.25

Calendar year performance % ( 31/12/2018 )

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Calendar year performance
Schroder ISF Emerging Multi-Asset Income USD A Acc
1 year -13.69
2 year 18.80
3 year 10.96

Overview

Asset ClassMulti-Asset
Share ClassA
Distribution TypeAcc
Share Class CurrencyUSD
Fund Manager(s)Multi-Asset Team
Total Fund Size (millions) 428.37
Fund Launch Date08/04/2015
Share Class Launch Date08/04/2015
Investment SchemeSICAV
DomicileLuxembourg
Fund Range NameSchroder ISF

Charges

Entry Charge15.00 %
Distribution Fee0.00 %
Ongoing Charge1.71 %

1 Up to 5.00% of the total subscription amount (equivalent to 5.26315% of Nav)

Fund Codes

ISINLU1196710195
SEDOLBVW1NJ7
BloombergSCEMAIA LX
CUSIPL81465368
ReutersLU1196710195.LUF
Valoren27425323

Other

Pricing FrequencyDaily
Fiscal Year End31 Dec