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Asset Class | Multi-Asset |
Share Class | A |
Distribution Type | Acc |
Share Class Currency | SGD |
Fund Manager(s) | Multi-Asset Team |
Fund Launch Date | 18/04/2012 |
Share Class Launch Date | 18/09/2013 |
Investment Scheme | SICAV |
Domicile | Luxembourg |
Fund Range Name | Schroder ISF |
Entry Charge1 | 5.00 % |
Distribution Fee | 0.00 % |
1 Up to 5.00% of the total subscription amount (equivalent to 5.26315% of Nav)
ISIN | LU0960925559 |
SEDOL | BD053M8 |
Bloomberg | SCGASGD LX |
CUSIP | L81460880 |
Reuters | LU0960925559.LUF |
Valoren | 22128304 |
Pricing Frequency | Daily |
Fiscal Year End | 31 Dec |
Date | Price |
Date | Price |
Date | Value |
Date | Value |
All fund performance data are on a NAV to NAV basis, net income reinvested. Data is not available for the time periods with no % growth stated. In case a share class is created after the fund's launch date, a simulated past performance is used, based upon the performance of an existing share class within the fund, taking into account the difference in the ongoing charges and the portfolio transaction costs, and including the impact of any performance fees if applicable.
This document does not constitute an offer to anyone or a solicitation by anyone to subscribe for shares of the Company. Nothing in this document should be construed as advice and is therefore not a recommendation to buy or sell shares. Subscriptions for shares of the Company can only be made on the basis of its latest prospectus together with the latest audited annual report (and subsequent unaudited semi-annual report if published) copies of which can be obtained - free of charge - from Schroder Investment Management (Europe) S.A. An investment in the Company entails risks which are fully described in the prospectus.Past performance is not a guide to future performance and may not be repeated. Investors may not get back the full amount invested as prices of shares and the income from them may fall as well as rise. Exchange rate changes may cause the value of any overseas investments to rise or fall. Schroders has expressed its own views and opinions in this document and these may change. This document is issued by Schroder Investment Management (Europe) S.A. - 5 rue Hoehenhof - L-1736 Senningerberg - Luxembourg. For your security, communications may be taped or monitored.
The Standard & Poor's Fund Stars are based on a fund's consistency of performance over time. These are only available to funds that have been trading for over three years.
The quoted Fund Star rating is based on the Standard & Poor's Offshore/Luxembourg Universe. These ratings can change. Investors should also be aware that there can be differences between the Standard & Poor's Offshore/Luxembourg Universe ratings and those of other countries. For further information please contact your local Sales Office.
Please note that there may be some delay in uploading the Distribution share class factsheets.
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Issued by Schroder Investment Management (Singapore) Ltd, 138 Market Street, #23-01, CapitaGreen, Singapore 048946.
Schroder Investment Management (Singapore) Ltd is regulated by the Monetary Authority of Singapore. Reg. no. 199201080H
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The information on this website is intended solely for use by Singapore residents.
The funds mentioned are Singapore- authorised and recognised funds registered for sale or purchase in Singapore. By proceeding you are representing and warranting that you are either resident in Singapore or the applicable laws and regulations of your jurisdiction allow you to access the information. In particular, the information is not for distribution and does not constitute an offer to sell or the solicitation of an offer to buy units in Schroder funds in any jurisdiction where such activity is prohibited including the United States of America.
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Past performance and any forecasts are not necessarily indicative of future performance. The value of units and the income from them may fall as well as rise. The funds are subject to investment risks. You should read the relevant prospectus obtainable from this website before investing.
The material and information on this site is current at the date of publication and is provided on an "AS IS" basis and without without any warranties of any kind, either expressed or implied.
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