BNY Mellon Investment Funds - BNY Mellon European Opportunities Fund (Responsible) Sterling Income

Category Europe ex-UK Equity


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Last buy/sell price

£4.1581

arrow-up£0.052 (+1.25%)

Fund Code

0677868

GB0006778681

Prices updated as at 16 May 2025
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Prices in GBP

Investment objective
The Sub-Fund aims to achieve capital growth over the long term (5 years or more). The Sub-Fund is actively managed and invests at least 75% of its NAV in a concentrated portfolio of equities (company shares issued by continental European companies including ordinary shares, preference shares and other equity-related securities). Continental European companies are defined as those that are either domiciled, incorporated or which have significant business in continental Europe (excluding the UK). At least 70% of the Sub-Fund’s NAV will meet the Investment Manager’s sustainability characteristics

Annual performance (%)

YearThis fundEurope ex-UK Equity
31 Mar 14 - 31 Mar 156.467.07
31 Mar 15 - 31 Mar 16-0.64-2.08
31 Mar 16 - 31 Mar 1719.4623.86
31 Mar 17 - 31 Mar 185.455.24
31 Mar 18 - 31 Mar 193.02-1.08
31 Mar 19 - 31 Mar 20-7.83-8.35
31 Mar 20 - 31 Mar 2128.7237.19
31 Mar 21 - 31 Mar 223.694.60
31 Mar 22 - 31 Mar 236.396.03
31 Mar 23 - 31 Mar 2417.1211.79
31 Mar 24 - 31 Mar 25-0.22-0.01

Trailing returns (%)

YearThis fundEurope ex-UK Equity
1 Day0.210.12
1 Month7.437.31
3 Months-0.080.30
6 Months10.599.94
1 Year3.972.57
3 Years annualised11.609.99
5 Years annualised10.7811.67
Please note that past performance is not a reliable indicator of future returns. Please use the interactive graph for benchmark comparison.


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