Man High Yield Opportunities Fund

Select share classes
There is only one type of share class for this fund.

Man Fixed Interest ICVC - Man High Yield Opportunities Fund Professional Income Shares (Class D)

Category Global High Yield Bond - GBP Hedged

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

103.80p

arrow-up0.20p (+0.19%)

Fund Code

SGHDI

BJK3W27

GB00BJK3W271

Prices updated as at 13 May 2025
|
Prices in GBX

Investment objective
The investment objective of the Fund is to provide income and capital growth. The Fund seeks to achieve its objective by investing in fixed and floating rate securities worldwide. Whilst the Fund has the power generally to invest in the asset classes, it will invest at least 80% of its assets in Sterling denominated (or hedged back to Sterling) securities rated below investment grade by Standard & Poor’s (i.e. below BBB minus) or Moody’s (i.e. below Baa3) or an equivalent external rating agency under normal market conditions. The Fund will invest no more than 5% of its assets in a single below investment grade issue at the time of purchase of such issue. The Fund may satisfy this requirement by investing in unrated bonds or hybrid bonds but not through convertibles, preference shares and permanent interest bearing shares (PIBs), although the Fund may invest the remainder of its assets (up to 20% of the Fund’s assets) in these investments.

Dividend information

Dividend information
-
7.76
-
Monthly
30 Jun 2025

Dividend history

Ex-div datePer share amountReinvestment price
01 May 20250.0078261.03
01 Apr 20250.0062661.037
03 Mar 20250.0047991.048
02 Jan 20250.0063371.029
03 Feb 20250.0074341.037
02 Dec 20240.0065481.032
01 Nov 20240.0078211.042
01 Oct 20240.0068841.044
02 Sep 20240.006181.029
01 Aug 20240.0069521.023
01 Jul 20240.0067941.009
01 May 20240.007160.9968
03 Jun 20240.00591.006
02 Apr 20240.0073380.997
01 Mar 20240.0069710.9959
01 Feb 20240.007590.9883
02 Jan 20240.007280.9859
01 Dec 20230.0059980.9644
01 Nov 20230.0068170.9458
02 Oct 20230.0068790.9567
01 Sep 20230.0064470.9537
01 Aug 20230.0068360.9581
03 Jul 20230.0040240.9542
01 Jun 20230.006880.9588
02 May 20230.0065990.9664
03 Apr 20230.0075880.9624
01 Mar 20230.0056550.9912
01 Feb 20230.0054670.9871
03 Jan 20230.0080260.9645
01 Dec 20220.0058830.9781
01 Nov 20220.0056480.939
03 Oct 20220.0060060.9318
01 Sep 20220.0058750.9776
01 Aug 20220.0059651.007
01 Jul 20220.0053230.9864
03 May 20220.0065421.057
01 Jun 20220.00471.038
04 Jan 20220.0040331.143
01 Apr 20220.005091.097
01 Mar 20220.0044191.114
01 Feb 20220.004061.131
01 Dec 20210.0045781.137
01 Nov 20210.0056661.145
01 Oct 20210.0042871.155
01 Sep 20210.0045161.154
02 Aug 20210.0043181.154
01 Jul 20210.00451.143
01 Jun 20210.00371.127
04 May 20210.0063751.124
01 Apr 20210.0054061.115
01 Mar 20210.00511.117
01 Feb 20210.00571.093
04 Jan 20210.006271.084
01 Dec 20200.00681.06
02 Nov 20200.0090.9753
01 Oct 20200.00570.9752
01 Sep 20200.00630.9827
03 Aug 20200.00670.9562
01 Jul 20200.0064490.9434
01 Jun 20200.0078580.91
01 May 20200.0067060.8629
01 Apr 20200.0062920.8143
02 Mar 20200.0051921.023
03 Feb 20200.0052671.034
02 Jan 20200.0049121.016
02 Dec 20190.006031.004
01 Nov 20190.0057640.9922
01 Oct 20190.0041760.9815
02 Sep 20190.003120.9857
01 Aug 20190.001920.9961
Please note that past performance is not a reliable indicator of future returns.


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