1. Funds available to Professional Investors in Hong Kong are listed below. If you would like further information on our funds, or wider investment capabilities, please get in touch.

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    Irish UCITS (27/05/2022)
    Factsheet
    KIID
    Cost Disclosure
    Class
    Inc / Acc
    Currency
    NAV Per Share
    % Change
    Worldwide Asia Ex Japan Fund View View
    -
    A
    Acc
    USD
    13.9882
    1.92%
    -
    View
    -
    B
    Acc
    CHF
    10.2789
    1.83%
    View View
    -
    B
    Acc
    EUR
    14.8208
    1.48%
    View View
    -
    B
    Acc
    USD
    14.3652
    1.92%
    -
    -
    -
    A
    Acc
    SGD
    10.2580
    1.50%
    Worldwide China A Shares Growth Fund
    -
    -
    -
    B
    Acc
    AUD
    15.7499
    0.51%
    -
    -
    -
    B
    Acc
    CNH
    158.2416
    1.00%
    -
    -
    -
    B
    Acc
    EUR
    16.6085
    0.91%
    -
    -
    View
    B
    Acc
    USD
    15.7026
    1.34%
    Worldwide China Fund View
    -
    -
    B
    Acc
    USD
    5.5883
    2.68%
    View
    -
    -
    B
    Acc
    EUR
    6.2198
    2.23%
    -
    -
    -
    B
    Acc
    GBP
    6.1677
    2.24%
    -
    -
    -
    A
    Acc
    CHF
    5.7841
    2.58%
    -
    -
    -
    A
    Acc
    EUR
    6.1637
    2.23%
    -
    -
    -
    A
    Acc
    USD
    5.5376
    2.67%
    -
    -
    -
    B
    Acc
    CHF
    5.8373
    2.58%
    Worldwide Discovery Fund
    -
    View
    -
    A
    Acc
    EUR
    9.5515
    2.56%
    -
    View
    -
    B
    Acc
    CAD
    8.5973
    2.34%
    View View
    -
    B
    Acc
    EUR
    15.0937
    2.56%
    -
    View
    -
    B
    Acc
    GBP
    10.3005
    2.58%
    -
    View
    -
    B
    Inc
    GBP
    9.4828
    2.58%
    -
    View
    -
    B
    Acc
    NZD
    9.0942
    2.15%
    View View View
    B
    Acc
    USD
    13.5548
    3.01%
    -
    View
    -
    C
    Acc
    GBP
    10.0927
    2.58%
    Worldwide Diversified Return Euro Fund View View View
    B
    Acc
    EUR
    10.5913
    0.34%
    Worldwide Diversified Return US Dollar Fund View View View
    B
    Acc
    USD
    11.9246
    0.37%
    Worldwide Diversified Return Yen Fund View View View
    B
    Acc
    JPY
    1214.6836
    0.34%
    Worldwide Emerging Markets All Cap Fund View View
    -
    B
    Acc
    EUR
    7.2071
    2.05%
    View View
    -
    B
    Acc
    USD
    6.4447
    2.50%
    Worldwide Emerging Markets Leading Companies Fund
    -
    View
    -
    A
    Acc
    CHF
    8.6996
    2.50%
    -
    View
    -
    A
    Acc
    EUR
    10.8882
    2.15%
    View View
    -
    A
    Acc
    USD
    9.6522
    2.60%
    -
    View
    -
    B
    Acc
    CHF
    8.7945
    2.50%
    View View
    -
    B
    Acc
    EUR
    15.9093
    2.16%
    View View View
    B
    Acc
    USD
    15.5340
    2.60%
    -
    View
    -
    C
    Acc
    JPY
    2405.4841
    2.88%
    Worldwide European Growth Fund
    -
    -
    -
    B
    Acc
    EUR
    6.8340
    3.21%
    -
    -
    -
    B
    Acc
    GBP
    6.7624
    3.22%
    View
    -
    -
    B
    Acc
    USD
    6.3329
    3.66%
    -
    -
    -
    B
    Acc
    CHF
    6.5161
    3.56%
    -
    -
    -
    A
    Acc
    CHF
    6.4639
    3.56%
    -
    -
    -
    A
    Acc
    EUR
    6.7798
    3.20%
    Worldwide European High Yield Bond Fund
    -
    View View
    B
    Acc
    EUR
    10.2031
    0.33%
    -
    View
    -
    B
    Inc
    EUR
    9.1265
    0.33%
    -
    View View
    B*
    Acc
    USD
    10.7572
    0.33%
    -
    View View
    B*
    Inc
    USD
    9.6851
    0.33%
    Worldwide Global Alpha Choice Fund
    -
    View
    -
    B
    Acc
    CAD
    17.5151
    2.26%
    View View
    -
    B
    Acc
    EUR
    14.2130
    2.49%
    -
    View
    -
    B
    Acc
    GBP
    21.6284
    2.50%
    -
    View
    -
    B
    Inc
    GBP
    26.1704
    2.50%
    View View View
    B
    Acc
    USD
    24.7536
    2.94%
    View View
    -
    B
    Inc
    USD
    11.2941
    2.94%
    -
    View View
    D*
    Acc
    NOK
    186.9488
    2.85%
    -
    View View
    B*
    Acc
    NOK
    308.3687
    2.85%
    Worldwide Global Alpha Fund
    -
    View
    -
    A
    Acc
    CHF
    9.5742
    2.67%
    View View
    -
    A
    Acc
    EUR
    12.0591
    2.32%
    View View
    -
    A
    Acc
    USD
    20.4145
    2.76%
    -
    -
    -
    B
    Acc
    GBP
    8.6428
    2.33%
    -
    View
    -
    B
    Acc
    CHF
    10.6053
    2.67%
    View View
    -
    B
    Acc
    EUR
    13.6497
    2.32%
    View View View
    B
    Acc
    USD
    22.1118
    2.76%
    -
    View
    -
    B
    Inc
    GBP
    9.0618
    2.33%
    -
    View
    -
    B
    Inc
    USD
    21.6409
    2.76%
    -
    View
    -
    C
    Acc
    CHF
    19.1188
    2.67%
    -
    View
    -
    C
    Acc
    GBP
    11.3661
    2.33%
    -
    View
    -
    C
    Inc
    JPY
    1795.1604
    3.04%
    -
    View
    -
    D
    Acc
    DKK
    231.8681
    2.30%
    Worldwide Global Income Growth Fund
    -
    View
    -
    B
    Acc
    CHF
    12.3477
    1.71%
    View View
    -
    B
    Acc
    EUR
    13.6637
    1.36%
    -
    View
    -
    B
    Inc
    EUR
    12.8373
    1.36%
    View View View
    B
    Acc
    USD
    13.0767
    1.80%
    -
    View
    -
    B
    Inc
    USD
    12.2686
    1.80%
    Worldwide Global Stewardship Fund
    -
    View
    -
    A
    Acc
    CHF
    7.6388
    3.11%
    View View
    -
    A
    Acc
    EUR
    12.6052
    2.76%
    -
    View
    -
    B
    Acc
    CHF
    7.7842
    3.11%
    View View
    -
    B
    Acc
    EUR
    12.8479
    2.77%
    -
    View
    -
    B
    Acc
    GBP
    11.8996
    2.78%
    View View View
    B
    Acc
    USD
    11.9172
    3.21%
    Worldwide Global Strategic Bond Fund View View View
    A
    Acc
    USD
    9.5751
    0.15%
    View View View
    B
    Acc
    USD
    12.7464
    0.16%
    -
    View
    -
    B
    Inc
    USD
    9.2497
    0.16%
    -
    View
    -
    C
    Acc
    USD
    16.0066
    0.16%
    -
    View View
    B*
    Inc
    EUR
    9.2558
    0.15%
    -
    View View
    B*
    Acc
    EUR
    11.0857
    0.15%
    -
    View
    -
    B*
    Inc
    GBP
    9.1534
    0.15%
    Worldwide Health Innovation Fund
    -
    View
    -
    A
    Acc
    CHF
    6.9529
    1.43%
    -
    View
    -
    A
    Acc
    EUR
    7.2246
    1.08%
    View View View
    A
    Acc
    USD
    10.1224
    1.52%
    -
    View
    -
    B
    Acc
    CHF
    7.0888
    1.43%
    View View
    -
    B
    Acc
    EUR
    11.7014
    1.08%
    -
    View
    -
    B
    Acc
    GBP
    7.6348
    1.10%
    View View View
    B
    Acc
    USD
    10.8178
    1.52%
    -
    View
    -
    B
    Inc
    USD
    6.1311
    1.53%
    Worldwide Japanese Fund
    -
    View
    -
    A
    Acc
    CHF
    8.2977
    0.14%
    -
    View
    -
    A
    Acc
    EUR
    11.0283
    -0.21%
    View View
    -
    A
    Acc
    JPY
    999.3669
    0.50%
    -
    View
    -
    A
    Acc
    SEK
    103.2513
    -0.50%
    -
    View
    -
    A
    Acc
    USD
    6.8088
    0.23%
    -
    View
    -
    B
    Acc
    CHF
    8.4249
    0.14%
    -
    View
    -
    B
    Acc
    GBP
    9.5339
    -0.19%
    View View
    -
    B
    Acc
    EUR
    12.9658
    -0.20%
    View View
    -
    B
    Acc
    JPY
    1739.8733
    0.50%
    View View View
    B
    Acc
    USD
    12.7624
    0.23%
    -
    View
    -
    B
    Inc
    GBP
    9.3820
    -0.19%
    -
    View
    -
    B
    Inc
    EUR
    9.7579
    -0.20%
    -
    View
    -
    B
    Inc
    USD
    9.0542
    0.23%
    -
    View
    -
    C
    Acc
    GBP
    19.5244
    -0.19%
    -
    View
    -
    C
    Acc
    USD
    12.1611
    0.23%
    -
    View View
    A*
    Inc
    EUR
    10.1645
    0.50%
    -
    View View
    B*
    Acc
    GBP
    11.1206
    0.52%
    -
    View View
    B*
    Acc
    EUR
    12.0394
    0.51%
    -
    View View
    B*
    Acc
    USD
    13.7100
    0.51%
    -
    View
    -
    A*
    Acc
    EUR
    10.9852
    0.50%
    View View
    -
    A*
    Acc
    USD
    10.0349
    0.51%
    Worldwide Long Term Global Growth Fund
    -
    View
    -
    A
    Acc
    CHF
    6.9348
    3.98%
    View View
    -
    A
    Acc
    EUR
    13.8911
    3.63%
    View View
    -
    A
    Acc
    SGD
    6.7142
    3.65%
    View View
    -
    A
    Acc
    USD
    13.3526
    4.08%
    -
    View
    -
    B
    Acc
    CHF
    6.8396
    3.98%
    View View
    -
    B
    Acc
    EUR
    22.8982
    3.63%
    -
    View
    -
    B
    Acc
    GBP
    15.1025
    3.64%
    View View View
    B
    Acc
    USD
    22.4268
    4.08%
    -
    View
    -
    B
    Inc
    USD
    12.1818
    4.08%
    -
    View
    -
    C
    Acc
    USD
    6.9670
    4.08%
    -
    View
    -
    C
    Acc
    JPY
    1678.0157
    4.37%
    -
    View
    -
    A*
    Acc
    GBP
    5.6412
    4.05%
    -
    View
    -
    A*
    Acc
    AUD
    5.0208
    4.04%
    Worldwide Pan-European Fund
    -
    View
    -
    A
    Acc
    CHF
    7.9476
    3.62%
    -
    View
    -
    A
    Acc
    EUR
    10.6585
    3.27%
    -
    View
    -
    B
    Acc
    CHF
    7.8107
    3.62%
    View View
    -
    B
    Acc
    EUR
    18.0500
    3.27%
    -
    View
    -
    B
    Acc
    GBP
    10.9927
    3.28%
    View View View
    B
    Acc
    USD
    14.4488
    3.72%
    -
    View
    -
    C
    Acc
    GBP
    12.5732
    3.28%
    Worldwide Positive Change Fund
    -
    View
    -
    A
    Acc
    CHF
    9.5058
    2.65%
    View View
    -
    A
    Acc
    EUR
    16.6718
    2.30%
    View View
    -
    A
    Acc
    USD
    14.2883
    2.75%
    -
    View
    -
    B
    Acc
    AUD
    18.4098
    1.90%
    -
    View
    -
    B
    Acc
    CAD
    15.5913
    2.08%
    -
    View
    -
    B
    Acc
    CHF
    9.6760
    2.66%
    View View
    -
    B
    Acc
    EUR
    18.9574
    2.31%
    -
    View
    -
    B
    Acc
    GBP
    11.9792
    2.32%
    -
    View
    -
    B
    Acc
    JPY
    846.1755
    3.03%
    View View View
    B
    Acc
    USD
    17.1114
    2.75%
    -
    View
    -
    C
    Acc
    AUD
    18.6303
    1.90%
    -
    View
    -
    C
    Acc
    JPY
    2002.1066
    3.03%
    Worldwide Responsible Global Equity Income Growth Fund View
    -
    -
    B
    Acc
    USD
    9.3255
    2.03%
    -
    -
    -
    B
    Inc
    USD
    9.1915
    2.03%
    View
    -
    -
    B
    Acc
    EUR
    10.3510
    1.58%
    -
    -
    -
    B
    Inc
    EUR
    10.2188
    1.58%
    -
    -
    -
    B
    Acc
    GBP
    10.2559
    1.60%
    -
    -
    -
    B
    Inc
    GBP
    10.1491
    1.60%
    Worldwide UK Equity Alpha Fund
    View
    -
    -
    B
    Acc
    EUR
    9.0922
    2.81%
    View
    -
    -
    B
    Acc
    GBP
    8.5780
    2.82%
    View
    -
    -
    B
    Acc
    USD
    8.3189
    3.26%
    Worldwide US Equity Growth Fund
    -
    View
    -
    A
    Acc
    CHF
    5.9249
    4.37%
    View View
    -
    A
    Acc
    EUR
    12.1727
    4.01%
    View View
    -
    A
    Acc
    USD
    10.7923
    4.46%
    -
    View
    -
    B
    Acc
    CHF
    6.0261
    4.37%
    View View
    -
    B
    Acc
    EUR
    18.9773
    4.01%
    -
    View
    -
    B
    Acc
    GBP
    12.2988
    4.03%
    View View View
    B
    Acc
    USD
    19.0792
    4.47%
    -
    View
    -
    C
    Acc
    GBP
    44.2004
    4.03%
  3. Class B shares are for standard direct investment. Multiple currency and currency hedged share classes may also be available.
    A share class (Retrocession share class at 1.5% management fee) and C share class (management fee agreed directly with the investment manager) are also available on most funds.
    Effective from 03 July 2020, F share classes for Worldwide Funds merged with their respective B share class or became a new B share class where this did not exist before.

    Please note all share classes highlighted with * are quoted as a hedged share class.

    Source: Baillie Gifford
    The fund prices quoted on this page are supplied by Baillie Gifford for information only. The funds operate on a forward pricing basis, namely that the funds deal at the price to be set at the next valuation point.

    The information contained in this section of the website relates to Baillie Gifford Worldwide Funds PLC, an investment company with variable capital incorporated with limited liability in Ireland with registered number 490695 and established as an umbrella fund with segregated liability between sub-funds pursuant to the European Communities (Undertakings for Collective Investment in Transferable Securities) Regulations, 2003 (as amended) (the “Company”).

    If you have any questions about the Company or investment in any of its sub-funds, you should consult your stock broker, bank manager, legal adviser, accountant or other financial adviser. The Company’s prospectus should be read in its entirety before making any application for shares. Should you proceed to access the Company’s prospectus, your attention is drawn to the Selling Restrictions within the document.