1. Export to Excel
    Investment style      Investment style
    Geographic region      Geographic region
    Clear all
    Open Fund Filters
    Showing 12 fund(s)
    Investment Trusts (04/12/2023)
    Price Per Share
    NAV Per Share
    Premium / Discount (+/-)
    203.00p
    227.36p
    -10.7%
    86.30p
    101.01p
    -14.6%
    124.60p
    143.20p
    -13.0%
    152.60p
    177.80p
    -14.2%
    164.00p
    196.90p
    -16.7%
    137.00p
    164.42p
    -16.7%
    211.00p
    244.01p
    -13.5%
    534.00p
    598.93p
    -10.8%
    712.80p
    835.09p
    -14.6%
    670.00p
    744.07p
    -10.0%
    ISIN: GB0030517261
    991.00p
    1130.31p
    -12.3%
    508.00p
    527.48p
    -3.7%
    Export to Excel
    Investment style      Investment style
    Asset class      Asset class
    Distribution type      Distribution type
    Geographic region      Geographic region
    Clear all
    Open Fund Filters
    Showing 12 fund(s)
    Investment Trusts (04/12/2023)
    Price Per Share
    NAV Per Share
    Premium / Discount (+/-)
    203.00p
    227.36p
    -10.7%
    86.30p
    101.01p
    -14.6%
    124.60p
    143.20p
    -13.0%
    152.60p
    177.80p
    -14.2%
    164.00p
    196.90p
    -16.7%
    137.00p
    164.42p
    -16.7%
    211.00p
    244.01p
    -13.5%
    534.00p
    598.93p
    -10.8%
    712.80p
    835.09p
    -14.6%
    670.00p
    744.07p
    -10.0%
    ISIN: GB0030517261
    991.00p
    1130.31p
    -12.3%
    508.00p
    527.48p
    -3.7%