Royal London UK Income with Growth Trust

Category GBP Allocation 60-80% Equity


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Last buy/sell price

211.30p

arrow-down-1.20p (-0.56%)

Fund Code

0159805

GB0001598050

Prices updated as at 12 Nov 2024
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Prices in GBX

Investment objective
The Scheme’s investment objective is to achieve an above-average income with some capital growth over the medium-to-long term, which should be considered as a period of 5-7 years, by primarily investing in the shares and sterling-denominated bonds of UK companies listed on the London Stock Exchange. At least 50% of the Scheme’s assets will be invested in the shares of UK companies, which are those domiciled in the UK, or which have significant UK business operations. Up to 30% of the Scheme's assets may be invested in the shares of companies that are not UK companies, but which are listed in the UK. In total, typically between 50% and 80% will be invested in shares of companies that form part of the FTSE All Share Index.

Dividend information

Dividend information
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Quarterly
30 Nov 2024

Dividend history

Ex-div datePer share amountReinvestment price
01 Oct 20240.0242582.184
01 Jul 20240.0269572.139
02 Apr 20240.0252762.091
02 Jan 20240.0230042.063
02 Oct 20230.0263861.982
03 Jul 20230.0249571.977
03 Apr 20230.0238842.069
03 Jan 20230.0235782.087
03 Oct 20220.0280031.896
01 Jul 20220.030812.043
01 Apr 20220.0237412.207
04 Jan 20220.0189242.193
01 Oct 20210.0322342.106
01 Jul 20210.0223822.134
01 Apr 20210.0209882.061
04 Jan 20210.0165492.043
01 Oct 20200.023581.787
01 Jul 20200.0170911.879
01 Apr 20200.0199441.716
02 Jan 20200.0239072.255
01 Oct 20190.0313922.161
01 Jul 20190.0396262.157
01 Apr 20190.0247142.174
02 Jan 20190.0255491.999
01 Oct 20180.023452.208
02 Jul 20180.0323772.221
03 Apr 20180.0373522.139
02 Jan 20180.01552.333
02 Oct 20170.0182.294
03 Jul 20170.02552.29
03 Apr 20170.0427172.298
03 Jan 20170.01552.291
03 Oct 20160.01752.301
01 Jul 20160.0252.204
01 Apr 20160.0372812.122
04 Jan 20160.0166672.176
01 Oct 20150.0188892.167
01 Jul 20150.0272222.239
01 Apr 20150.0370492.34
02 Jan 20150.0161112.242
01 Oct 20140.0183332.193
01 Jul 20140.0283272.228
01 Apr 20140.0357022.223
02 Jan 20140.01452.236
Please note that past performance is not a reliable indicator of future returns.


Important Information

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