Ninety One Global Total Return Credit Fund

Select share classes

Ninety One Global Total Return Credit Fund K GBP Acc

Category Global Flexible Bond - GBP Hedged

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

120.26p

arrow-up0.25p (+0.21%)

Fund Code

ICTKA

BFM7CQ3

GB00BFM7CQ35

Prices updated as at 16 Apr 2025
|
Prices in GBX

Investment objective
The Fund aims to provide total returns comprised of income and capital growth over at least a full credit cycle (this objective may be measured over at least 5 years). The Fund targets a positive return of Overnight SONIA +4% before fees over a full credit cycle (which may be measured over 5-year rolling periods). The Fund invests primarily (at least two-thirds) in bonds (or similar debt-based assets) issued by borrowers around the world (including but not limited to emerging markets) and in related derivatives (financial contracts whose value is linked to the price of such bonds (or similar debt-based assets)).

Dividend information

Dividend information
4.85
-
-
Monthly
30 May 2025

Dividend history

Ex-div datePer share amountReinvestment price
01 Apr 20250.0054991.2125
03 Mar 20250.0045021.2146
03 Feb 20250.0053281.2045
02 Jan 20250.0056731.1964
02 Dec 20240.004821.197
01 Nov 20240.0050631.186
01 Oct 20240.0052351.1919
02 Sep 20240.0047821.1755
01 Aug 20240.0054261.1651
01 Jul 20240.0052491.1507
03 Jun 20240.0051991.1402
01 May 20240.005691.1274
02 Apr 20240.0046881.1308
01 Mar 20240.0050871.1266
01 Feb 20240.0053551.1256
02 Jan 20240.0054991.114
01 Dec 20230.0049791.0853
01 Nov 20230.0055991.0564
02 Oct 20230.0054071.0622
01 Sep 20230.005341.0702
01 Aug 20230.0050981.0684
03 Jul 20230.005181.0599
01 Jun 20230.0052811.0557
02 May 20230.0044531.0541
03 Apr 20230.0046571.0444
01 Mar 20230.0047581.0505
01 Feb 20230.0047721.0599
03 Jan 20230.005441.0216
01 Dec 20220.0039871.0221
01 Nov 20220.0037540.9902
01 Sep 20220.0045111.0326
03 Oct 20220.0041180.9821
01 Aug 20220.0032761.0464
01 Jul 20220.0044150.995
03 May 20220.0038951.0862
01 Jun 20220.0035941.0669
01 Apr 20220.0034041.1191
01 Mar 20220.003391.1172
01 Feb 20220.0024981.1401
04 Jan 20220.0026851.1616
01 Dec 20210.0075261.1509
01 Oct 20210.0115591.1715
01 Jul 20210.0108691.1659
01 Apr 20210.0100811.1476
04 Jan 20210.010021.1403
01 Oct 20200.0101691.0815
01 Jul 20200.0095611.0484
01 Apr 20200.008430.949
02 Jan 20200.0076211.0726
01 Oct 20190.0087811.0559
01 Jul 20190.0092541.045
01 Apr 20190.0060411.0224
02 Jan 20190.0069780.9915
01 Oct 20180.0090091.007
02 Jul 20180.002590.9934
Please note that past performance is not a reliable indicator of future returns.


Important Information

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