CG Absolute Return Fund

Investment Objective

To achieve cost-effective, long-term absolute returns via a global portfolio of equities, bonds and commodities. Typically, equity investments are expressed via ETFs and listed closed end funds, and bond investments are made directly. The Fund is actively managed, without reference to a benchmark.

Documents

  • Fund Size: £948m
  • Launch Date: 20 May 2016
  • Fund Status: Open
  • Dividend Yield: <2%
  • Management Fee: 0.35%
  • Total Expense Ratio: 0.44%
  • Min. Investment: £100,000
  • Dealing: Daily pricing, dealing cutoff: 14:00
  • Dealing Contact: cgtainstructions@ntrs.com
  • TA Contact: cg_ta@ntrs.com
  • ISIN: IE00BYQ69B30
  • Administrator: Northern Trust
  • Dividend: Annual
    £2.89 per share on 10/11/2023
  • Eligibility: ISA, SIPP and direct invest eligible.
    NURS and UCITS, please enquire
  • Structure: Irish UCITS fund, regulated by the Central Bank of Ireland, recognised by the Financial Conduct Authority, with UK Reporting Fund status.

By continuing to use the site, you agree to the use of cookies. more information

The cookie settings on this website are set to "allow cookies" to give you the best browsing experience possible. If you continue to use this website without changing your cookie settings or you click "Accept" below then you are consenting to this.

Close