Overview
Fund objective
To produce monthly income, whilst seeking to maintain the value of that income and of capital in line with inflation (UK CPI) over five -year periods.
The Fund has no target. However, you may wish to assess performance of both income and capital against inflation (UK CPI) over five-year periods. In addition, the manager believes an appropriate performance comparison for this Fund is the Investment Association Mixed Investment 40 -85% Shares Sector.
Investment proposition
Share price and charges
Share class
B, IncPrice
111.00p% change
-0.63%Yield
4.1%Ex-dividend (XD)
XOngoing charges*
0.50%Initial charge
0%Minimum investment
£100,000Minimum top up
£1,000Sustainability label
Sustainable investment labels help investors find products that have a specific sustainability goal. This product does not have a UK sustainable investment label. This product promotes environmental and/or social characteristics but does not meet the requirements to adopt a label. More details can be found in the product’s SDR Sustainability-related Disclosure Document found within the documents section of the website.
Fund facts
Fund launch date
31 August 2018
Fund size
£1,017.48m
Annual turnover
469%
Current number of holdings
372
Style
Income
XD Date
Last day of each month
Distribution
Second last business day of each month
Pricing
Valuation point 10am daily, swinging single price
Fund settlement cycle
Trade date plus three business days (T+3)
Meet the managers
Risk Warnings
Risk Introduction
The Fund does not guarantee positive returns. It aims to maintain the capital value in line with inflation, however this is not guaranteed. Investment markets can go down as well as up and market conditions can change rapidly. The value of an investment in the Fund, and any income from it, can fall as well as rise and investors may not get back the amount invested. The specific risks associated with the Fund include:
Market Conditions/Liquidity
Market values for illiquid securities which are difficult to trade, or value less frequently than the Fund, such as holdings in weekly or monthly dealt funds, may not be readily available. There can be no assurance that any value assigned to them will reflect the price the Fund might receive upon their sale. In certain circumstances it can be difficult to buy or sell the Fund's holdings and even small purchases or sales can cause their prices to move significantly, affecting the value of the Fund and the price of shares in the Fund.
Custody
Custody of assets, particularly in emerging markets, involves a risk of loss if a custodian becomes insolvent or breaches duties of care.
Emerging Markets
The Fund invests in emerging markets where difficulties in trading could arise, resulting in a negative impact on the value of your investment.
Bonds & Inflation
Bonds issued by companies and governments may be adversely affected by changes in interest rates, expectations of inflation and a decline in the creditworthiness of the bond issuer. The issuers of bonds in which the Fund invests, particularly in emerging markets, may not be able to pay the bond income as promised or could fail to repay the capital amount.
Alternative Assets
Investments may be made directly in hedge funds or, through specific investment vehicles into property, infrastructure and commodities. Returns from these investments are sensitive to various factors which may include interest and exchange rates, economic growth prospects and inflation, the occurrence of natural disasters, and the cost and availability of gearing (debt finance).
Foreign Currency
The Fund has exposure to foreign currencies and changes in the rates of exchange will cause the value of any investment, and income from it, to fall as well as rise and you may not get back the amount invested.
Derivatives
Derivatives may be used to obtain, increase or reduce exposure to assets and may result in the Fund being leveraged. This may result in greater movements (down or up) in the price of shares in the Fund. It is not our intention that the use of derivatives will significantly alter the overall risk profile of the Fund.
Volatility
The Fund's share price can be volatile due to movements in the prices of the underlying holdings and the basis on which the Fund is priced.
Fees to Capital
The manager can charge some, or all, expenses to the Fund’s capital, reducing its value. This amount can vary from year to year.
Environmental, Social and Governance
The Fund invests according to sustainable and responsible investment criteria which means it cannot invest in certain sectors and companies. The universe of available investments will be more limited than other funds that do not apply such criteria/ exclusions, therefore the Fund may have different returns than a fund which has no such restrictions.
Further Information
Further details of the risks associated with investing in the Fund can be found in the Key Investor Information Document or the Prospectus, copies of which are available at bailliegifford.com.
Important information
Your location indicates you are based in Jersey and you have confirmed that you are an intermediary. The information in the website is not intended for retail investors. Please select “Change” at the top of the page if this is not suitable for you.
This website is informative only and the information provided should not be considered as investment or other advice or a recommendation to buy, sell or hold a particular investment. Read our Legal and regulatory information for further details.
Fund performance
Periodic performance
As at: 30 April 2026
1 Month | 3 Months | 6 Months | 1 Year | 3 Years | 5 Years | |
|---|---|---|---|---|---|---|
Class B-Inc | 4.8% | 1.2% | 3.3% | 8.9% | 5.7% | 3.7% |
Sector Average* | 5.0% | 1.5% | 3.1% | 17.8% | 9.6% | 5.3% |
Sector Ranking | 132/225 | 157/225 | 106/222 | 203/213 | 183/192 | 146/178 |
Figures for 3 and 5 years are shown as the annualised rate of return. This is the average yearly return over the specified period.
Annual discrete performance
As at: 31 March 2026
31/03/2021 – 31/03/2022 | 31/03/2022 – 31/03/2023 | 31/03/2023 – 31/03/2024 | 31/03/2024 – 31/03/2025 | 31/03/2025 – 31/03/2026 | |
|---|---|---|---|---|---|
Class B-Inc | 7.4% | -3.9% | 6.4% | 2.3% | 5.2% |
Sector Average* | 5.2% | -4.5% | 10.2% | 3.3% | 11.1% |
Important information
Your location indicates you are based in Jersey and you have confirmed that you are an intermediary. The information in the website is not intended for retail investors. Please select “Change” at the top of the page if this is not suitable for you.
This website is informative only and the information provided should not be considered as investment or other advice or a recommendation to buy, sell or hold a particular investment. Read our Legal and regulatory information for further details.
Fund portfolio holdings
The list of top 10 holdings that this fund invests in.
As at: 30 April 2026
| # | Holding | % of total assets |
|---|---|---|
| 1 | UK Treasury 4.25% 07/03/2036 | 2.9% |
| 2 | TSMC | 2.0% |
| 3 | Terna | 1.5% |
| 4 | Sequoia Economic Infrastructure Income Fund | 1.4% |
| 5 | Microsoft | 1.4% |
| 6 | Brazil 10% 01/01/2035 | 1.4% |
| 7 | Analog Devices | 1.3% |
| 8 | Apple | 1.2% |
| 9 | Greencoat UK Wind | 1.1% |
| 10 | United Utilities | 1.1% |
Important information
Your location indicates you are based in Jersey and you have confirmed that you are an intermediary. The information in the website is not intended for retail investors. Please select “Change” at the top of the page if this is not suitable for you.
This website is informative only and the information provided should not be considered as investment or other advice or a recommendation to buy, sell or hold a particular investment. Read our Legal and regulatory information for further details.
Insights
Key articles, videos and podcasts relating to the fund:
Filters
Insights

Infrastructure: beyond the HALO
Why hard asset, low obsolescence infrastructure gives the Monthly Income Fund resilience and flexibility
Smooth the journey, not the market
For retirement investors, a steady, growing income stream can help mitigate market volatility.
EMLC debt: why now is a good time to add
Emerging market local currency bonds offer high income supported by strong fundamentals.
Property hunting
Jon Stewart, co-manager of the Monthly Income Fund, explains why real estate investment trusts are a long-term opportunity.
How pension reform is reshaping retirement income
Why the Baillie Gifford Monthly Income Fund is suited to address regulatory changes in the UK pension market.
Monthly Income Fund Q1 update
Investment specialist David Rolland reflects on recent performance, portfolio changes and market developments.

Infrastructure: beyond the HALO
Why hard asset, low obsolescence infrastructure gives the Monthly Income Fund resilience and flexibility
Smooth the journey, not the market
For retirement investors, a steady, growing income stream can help mitigate market volatility.
EMLC debt: why now is a good time to add
Emerging market local currency bonds offer high income supported by strong fundamentals.
Property hunting
Jon Stewart, co-manager of the Monthly Income Fund, explains why real estate investment trusts are a long-term opportunity.
How pension reform is reshaping retirement income
Why the Baillie Gifford Monthly Income Fund is suited to address regulatory changes in the UK pension market.
Important information
Your location indicates you are based in Jersey and you have confirmed that you are an intermediary. The information in the website is not intended for retail investors. Please select “Change” at the top of the page if this is not suitable for you.
This website is informative only and the information provided should not be considered as investment or other advice or a recommendation to buy, sell or hold a particular investment. Read our Legal and regulatory information for further details.
Documents
You can access any literature about the Fund here.
To download any document you will need Adobe Reader. Please note that we can now provide you with Braille and audio transcriptions of our literature on request. It may take up to 10 days for the transcription to be completed dependent on the size of the document.
Important information
Your location indicates you are based in Jersey and you have confirmed that you are an intermediary. The information in the website is not intended for retail investors. Please select “Change” at the top of the page if this is not suitable for you.
This website is informative only and the information provided should not be considered as investment or other advice or a recommendation to buy, sell or hold a particular investment. Read our Legal and regulatory information for further details.




