Ninety One Diversified Income Fund

Select share classes

Ninety One Diversified Income Fund J Income 2 GBP

A Select 50 Fund - Fidelity insight
Category GBP Allocation 20-40% Equity



star-filledstar-filledstar-filledstar-filled
This fund can be held in an Investment ISA, SIPP and Investment Account
Last buy/sell price

92.21p

arrow-down-0.22p (-0.24%)

Fund Code

ICDJI

BD5J0Y6

GB00BD5J0Y67

Prices updated as at 01 Oct 2024
|
Prices in GBX

Investment objective
The Fund aims to provide income with the opportunity for capital growth over at least 5 years. The Fund seeks to limit volatility (the pace or amount of change in its value) to lower than 50% of that of shares of UK companies (measured using the FTSE All Share Index). The Fund invests in a broad range of assets around the world. These assets include bonds (or similar debt-based assets), shares of companies, listed property securities (such as real estate investment trusts) and other alternative assets (such as investment trusts in infrastructure).

Dividend information

Dividend information
5.16
-
-
Monthly
29 Nov 2024

Dividend history

Ex-div datePer share amountReinvestment price
01 Oct 20240.0034620.9221
02 Sep 20240.0032560.9143
01 Aug 20240.0043770.9094
01 Jul 20240.0032550.8957
03 Jun 20240.0040820.8957
01 May 20240.0044040.8931
02 Apr 20240.0036540.905
01 Mar 20240.0035240.9013
01 Feb 20240.0040350.9062
02 Jan 20240.0030610.9095
01 Dec 20230.0034910.8939
01 Nov 20230.0036890.8707
02 Oct 20230.0036650.8829
01 Sep 20230.0034270.8948
01 Aug 20230.0036570.9002
03 Jul 20230.0034330.8998
01 Jun 20230.0035870.9001
02 May 20230.0029910.9103
03 Apr 20230.0031760.9136
01 Mar 20230.0032740.9027
01 Feb 20230.0035370.9182
03 Jan 20230.0024640.9
01 Dec 20220.0027810.9018
01 Nov 20220.0031840.8799
01 Sep 20220.0035980.9018
03 Oct 20220.0029150.8797
01 Aug 20220.0021270.9171
01 Jul 20220.0034880.9071
01 Jun 20220.0035530.9347
03 May 20220.0044770.942
01 Apr 20220.003310.9621
01 Mar 20220.0024510.9611
01 Feb 20220.0025850.9681
04 Jan 20220.0018530.9908
01 Dec 20210.0026820.9782
01 Nov 20210.0022910.9779
01 Oct 20210.0029150.9802
01 Sep 20210.0033671.0041
02 Aug 20210.0034311.0065
01 Jul 20210.0042211.0074
01 Jun 20210.00361.0147
04 May 20210.0035571.0164
01 Apr 20210.0032121.0123
01 Mar 20210.0023421.0111
01 Feb 20210.003151.0122
04 Jan 20210.0024181.0142
01 Dec 20200.002831.0011
02 Nov 20200.0029210.9771
01 Oct 20200.0035730.9797
01 Sep 20200.0032320.9877
03 Aug 20200.0035050.9849
01 Jul 20200.0035030.9714
01 Jun 20200.0035010.9625
01 May 20200.0034980.9468
01 Apr 20200.0034960.9185
02 Mar 20200.0029240.9895
02 Jan 20200.0028571.0057
03 Feb 20200.0034931.005
02 Dec 20190.0029860.9946
01 Nov 20190.0016290.9978
01 Oct 20190.0048570.9944
02 Sep 20190.0039150.9969
01 Aug 20190.0039131.0048
01 Jul 20190.003911.0103
03 Jun 20190.0039081.0066
01 May 20190.0039061.0143
01 Apr 20190.0035041.0146
01 Mar 20190.0035031.0098
01 Feb 20190.0038981.0095
02 Jan 20190.0038970.9964
03 Dec 20180.0025251.005
01 Nov 20180.0025241.0044
01 Oct 20180.0061491.0062
03 Sep 20180.0035551.018
01 Aug 20180.0035531.0183
02 Jul 20180.0035511.0135
01 Jun 20180.0035491.0192
01 May 20180.0035471.0212
03 Apr 20180.0035451.0199
01 Mar 20180.0031821.0302
01 Feb 20180.003421.0378
02 Jan 20180.0037291.0319
01 Dec 20170.0031751.0307
01 Nov 20170.0027261.0295
02 Oct 20170.0039151.0277
01 Sep 20170.0038841.0328
01 Aug 20170.0038811.0332
03 Jul 20170.0038791.0317
01 Jun 20170.0038771.0408
02 May 20170.0038741.035
03 Apr 20170.0038721.0365
01 Mar 20170.0034411.0373
01 Feb 20170.003641.025
01 Dec 20160.0028091.0102
03 Jan 20170.0031941.0282
01 Nov 20160.003861.0323
03 Oct 20160.0108641.0385
01 Sep 20160.0038241.0478
01 Aug 20160.0038211.0519
01 Jul 20160.0030561.0404
01 Jun 20160.0038181.024
01 Apr 20160.003051.0219
03 May 20160.0030521.0221
01 Mar 20160.003051.0114
01 Feb 20160.0030471.0074
01 Dec 20150.0030441.0214
04 Jan 20160.0030451.0038
01 Oct 20150.0092970.9946
02 Nov 20150.0030421.0135
01 Jul 20150.0098941.0175
01 Apr 20150.0102321.0524
02 Jan 20150.0091851.0298
01 Oct 20140.0104161.0259
01 Jul 20140.011571.0212
01 Apr 20140.0108061.0121
02 Jan 20140.0092881.0156
Please note that past performance is not a reliable indicator of future returns.

Important Information

Please note the value of investments can go down as well as up so you may get back less than you invested. This information is not a personal recommendation for any particular investment. If you are unsure about the suitability of an investment you should speak to an authorised financial adviser. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) may not be copied or distributed; and(3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information.

Any ESG-related information, methodologies, tools, ratings, data and opinions contained or reflected herein are not directed to or intended for use or distribution to India-based clients or users and their distribution to Indian resident individuals or entities is not permitted, and Morningstar accepts no responsibility or liability whatsoever for the actions of third parties in this respect.
© Copyright 2024 Morningstar. All rights reserved.