MoneyAM Fund Centre
BNY Mellon Sustainable Real Return Newton Institutional 1 Acc GBP
Latest (Mid) Price:
GBX 106.14
Shares Class |
Inc. |
Yield |
0.00 |
Total Expense Ratio |
0.00 |
Fund Performance
Discrete Performance
(No discrete data available for BNY Mellon Sustainable Real Return Newton Institutional 1 Acc GBP)
Quick Stats
Fund Size |
406,949,247.00 |
Launch Date |
24/04/2018 |
Standard Initial Charge (%) |
0.00 |
Currency |
GBX |
ISA Eligible |
No |
Annual Management Charge (%) |
0.75 |
Sector |
IMA UK Equity Income |
Min Investment (£) |
10,000,000.00 |
Total Expense Ratio (%) |
0.00 |
ISIN |
GB00BD6DRK23 |
Min Topup (£) |
0.00 |
Ongoing Charge (%) |
0.8500 (on 27/07/2020) |
Fund Objective
The objective of the Sub-Fund is to achieve a real rate of return in Sterling terms that is equivalent to the return from cash (1 month GBP LIBOR) + 4% per annum over 5 years before fees. In doing so, it aims to achieve a positive return on a rolling 3 year basis. However, there is a risk to capital and there is no guarantee that a positive return will be achieved over this or any other time period.
Fund Managers
Matthew Brown
Matthew is a global multi-asset manager. He is a member of the multi-asset model group and has specific responsibility for managing a number of global equity and multi-asset portfolios. Since joining Newton in 2000 he has acquired varied experience working on a range of mandates, and has been a member of the Real Return team since the strategy was launched in 2004. He was awarded the CFA1 qualification in 2005. Matt holds a BA from Bristol University.
Mr.. Philip Shucksmith
Philip joined the real return team in 2008. He is a CFA charter holder and has responsibility for managing corporate debt, infrastructure, convertible bonds and renewable energy holdings in the Fund.
Asset Breakdown
Name |
Weight |
Alternative Assets |
15.00% |
Asia Pacific ex Japan Equities |
2.00% |
Commodity & Energy |
11.00% |
Europe ex UK Equities |
12.00% |
Foreign Exchange |
2.00% |
Global Corporate Fixed Interes |
7.00% |
Global Emerging Market Fixed I |
5.00% |
Global Index Linked |
0.00% |
International Equities |
8.00% |
Japanese Equities |
2.00% |
Money Market |
4.00% |
North American Equities |
19.00% |
Others |
0.00% |
UK Equities |
6.00% |
Region Breakdown
Name |
Weight |
Europe ex UK |
12.00% |
Global Emerging Markets |
5.00% |
Japan |
2.00% |
Money Market |
4.00% |
North America |
19.00% |
Not Specified |
37.00% |
Others |
8.00% |
Pacific ex-Japan |
2.00% |
UK |
6.00% |
Sector Breakdown
Name |
Weight |
Alternative Assets |
15.00% |
Basic Materials |
4.00% |
Consumer Goods |
7.00% |
Consumer Services |
6.00% |
Corporate Bonds |
7.00% |
Currency |
2.00% |
Debt |
5.00% |
Financials |
8.00% |
Health Care |
4.00% |
Index Linked |
0.00% |
Industrials |
11.00% |
Money Market |
4.00% |
Others |
0.00% |
Precious Metals & Stones |
11.00% |
Technology |
7.00% |
Utilities |
1.00% |
Top 10 Holdings
Name |
Weight |
INVESCO PHYSICAL GOLD ETC A US |
3.00% |
ISHARES PHYSICAL GOLD |
3.00% |
WISDOMTREE PHYSICAL SWISS GOLD |
3.00% |
AIA GROUP LTD |
1.00% |
BARCLAYS BANK PLC FRN 10/08/21 |
1.00% |
BARCLAYS BANK PLC S&P COLL NTS |
1.00% |
BNP PARIBAS ISSUANCE B.V. VOLA |
1.00% |
GREENCOAT UK WIND PLC |
1.00% |
LINDE AG |
1.00% |
MEDTRONIC INC |
1.00% |
Please remember that past performance is not a guide of future returns. The value of investments and the income from them can go down as well as up as a result of currency exchange and market fluctuations and investors may not get back the amount originally invested.
Fund data supplied by