VT AJ Bell Income Fund

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VT AJ Bell Income Fund I GBP Inc

Category GBP Allocation 40-60% Equity


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

104.83p

arrow-up0.754p (+0.72%)

Fund Code

AJIII

BH3W755

GB00BH3W7552

Prices updated as at 16 May 2025
|
Prices in GBX

Investment objective
The investment objective of the fund is to generate income whilst maintaining capital value over a typical investment cycle (5-10 years) through a focus on exposure to a broad range of income generating assets such as bonds and equities. The Fund has a target average yield of 3-5% per annum (over a trailing three year period), which is not guaranteed and may be subject to change as the assumptions on which the target was calculated may change The Fund will seek to achieve its objective by investing mainly in other collective investment schemes (especially in the early stages of the Fund's growth) and so provide exposure to equities (particularly those which the Investment Manager considers to have dividend yields above the average for the relevant regional stock markets and including investment trusts) and bonds as well as alternative asset classes (such as property and infrastructure).

Dividend information

Dividend information
-
3.80
-
Monthly
30 May 2025

Dividend history

Ex-div datePer share amountReinvestment price
30 Apr 20250.00211.022861
31 Mar 20250.0121741.033817
28 Feb 20250.00211.07041
31 Jan 20250.00211.07201
31 Dec 20240.00211.049676
29 Nov 20240.00211.058624
31 Oct 20240.0002941.045483
30 Sep 20240.0057671.055009
30 Aug 20240.0022381.053017
31 Jul 20240.0002781.053803
28 Jun 20240.0053611.042375
31 May 20240.0002881.036271
30 Apr 20240.0004191.03499
28 Mar 20240.0069971.036773
29 Feb 20240.0013451.014021
31 Jan 20240.0005661.005127
29 Dec 20230.0045611.016059
30 Nov 20230.0039620.979595
31 Oct 20230.0003360.953999
29 Sep 20230.0066920.974545
31 Aug 20230.0027910.975391
30 Jun 20230.0057720.972966
31 May 20230.002570.975324
28 Apr 20230.0034380.995008
31 Mar 20230.0048370.995119
28 Feb 20230.0016981.00966
31 Jan 20230.0023851.019818
30 Dec 20220.0053261.007434
30 Nov 20220.0026321.023482
31 Oct 20220.0001730.989007
30 Sep 20220.0049540.984656
31 Aug 20220.0019691.037833
29 Jul 20220.0016791.035213
30 Jun 20220.0044031.006392
31 May 20220.0034511.0513
29 Apr 20220.0011641.053707
31 Mar 20220.0030671.055473
28 Feb 20220.0011191.020923
31 Jan 20220.0025321.038894
31 Dec 20210.003581.054708
30 Nov 20210.0040051.024271
29 Oct 20210.000631.024505
30 Sep 20210.0043781.033612
31 Aug 20210.0037211.039766
30 Jul 20210.0007131.024045
30 Jun 20210.0037651.024355
28 May 20210.0036331.021788
30 Apr 20210.0011771.019496
31 Mar 20210.0029761.009789
26 Feb 20210.0017840.97084
29 Jan 20210.0024180.989951
31 Dec 20200.0044020.995379
30 Nov 20200.002240.992401
30 Oct 20200.0001440.951184
30 Sep 20200.0051520.963319
28 Aug 20200.0024290.962639
31 Jul 20200.0046080.966265
30 Jun 20200.0033310.986699
29 May 20200.0020390.970413
30 Apr 20200.000390.944828
31 Mar 20200.0040830.907079
31 Jan 20200.0027591.012121
28 Feb 20200.0024390.993906
31 Dec 20190.004861.017529
29 Nov 20190.0028071.013093
31 Oct 20190.0011741.009731
30 Sep 20190.0058211.032449
30 Aug 20190.0033111.032967
31 Jul 20190.0051511.044227
28 Jun 20190.0037751.023838
31 May 20190.0023071.002836
30 Apr 20190.0003291.002355
Please note that past performance is not a reliable indicator of future returns.


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