To achieve long-term capital appreciation and income growth via long-only investments in US Government Index-Linked Bonds. The Fund is actively managed, without reference to a benchmark. All US dollar currency exposure is hedged back to Pounds Sterling for the CG Dollar Fund GBP Hedged share class.
Irish UCITS fund, regulated by the Central Bank of Ireland, recognised by the Financial Conduct Authority, with UK Reporting Fund status. This fund is ISA, SIPP and direct invest eligible. NURS and UCITS, please enquire
Monthly Factsheet
Analyst Pack
FUND SIZE
£430m
CLASS SIZE
£166m
LAUNCH DATE
8 May 2009
DISTRIBUTION YIELD
< 3%
annual DISTRIBUTION
£4.49 per share on 12/11/2025
ISIN
IE00B41GP767
MANAGEMENT FEE <£1bn:
0.25%
MANAGEMENT FEE >£1bn:
0.15%
TOTAL EXPENSE RATIO
0.37%
MIN. INVESTMENT
£100,000
ADMINISTRATOR
Northern Trust
DEALING
Daily pricing, dealing cutoff: 14:00
DEALING CONTACT
TA CONTACT
FUND SIZE
£430m
CLASS SIZE
£259m
LAUNCH DATE
15 August 2016
DISTRIBUTION YIELD
< 3%
annual DISTRIBUTION
£2.63 per share on 12/11/2025
ISIN
IE00BY7QHV89
MANAGEMENT FEE <£1bn:
0.25%
MANAGEMENT FEE >£1bn:
0.15%
TOTAL EXPENSE RATIO
0.37%
MIN. INVESTMENT
£100,000
ADMINISTRATOR
Northern Trust
DEALING
Daily pricing, dealing cutoff: 14:00
DEALING CONTACT
TA CONTACT
FUND SIZE
£430m
CLASS SIZE
£0m
LAUNCH DATE
30 April 2021
DISTRIBUTION YIELD
< 3%
annual DISTRIBUTION
£2.37 per share on 12/11/2025
ISIN
IE00BN77D615
MANAGEMENT FEE <£1bn:
0.25%
MANAGEMENT FEE >£1bn:
0.15%
TOTAL EXPENSE RATIO
0.37%
MIN. INVESTMENT
£100,000
ADMINISTRATOR
Northern Trust
DEALING
Daily pricing, dealing cutoff: 14:00
DEALING CONTACT
TA CONTACT
FUND SIZE
£430m
CLASS SIZE
€0m
LAUNCH DATE
19 July 2023
DISTRIBUTION YIELD
< 3%
annual DISTRIBUTION
€2.47 per share on 12/11/2025
ISIN
IE000DUVSMH8
MANAGEMENT FEE <£1bn:
0.25%
MANAGEMENT FEE >£1bn:
0.15%
TOTAL EXPENSE RATIO
0.37%
MIN. INVESTMENT
£100,000
ADMINISTRATOR
Northern Trust
DEALING
Daily pricing, dealing cutoff: 14:00
DEALING CONTACT
TA CONTACT
FUND SIZE
£430m
CLASS SIZE
$7m
LAUNCH DATE
19 July 2023
DISTRIBUTION YIELD
< 3%
annual DISTRIBUTION
$2.77 per share on 12/11/2025
ISIN
IE00093P8OW8
MANAGEMENT FEE <£1bn:
0.25%
MANAGEMENT FEE >£1bn:
0.15%
TOTAL EXPENSE RATIO
0.37%
MIN. INVESTMENT
£100,000
ADMINISTRATOR
Northern Trust
DEALING
Daily pricing, dealing cutoff: 14:00
