Rathbone MA Strategic Income Portfolio

Select share classes

Rathbone Multi-Asset Strategic Income Portfolio S Acc

Category GBP Allocation 60-80% Equity


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

155.76p

arrow-up0.14p (+0.09%)

Fund Code

RASIS

BY9BT48

GB00BY9BT482

Prices updated as at 27 Dec 2024
|
Prices in GBX

Investment objective
The objective of the fund is to deliver an income of 3% or more each year. We also aim to deliver a greater total return than the CPI measure of inflation + 3%, after fees, over any rolling five-year period by investing with our Liquidity Equity Diversifiers (LED) framework. The fund aims to deliver this return with no more than two-thirds of the volatility of the FTSE Developed stock market index. To meet the objective, the fund manager will invest globally in government and corporate bonds with no restriction on their credit quality, equities, collective investment schemes and structured products. Up to 10% of the fund can be invested directly in contingent convertible bonds.

Dividend information

Dividend information
-
3.53
-
Monthly
31 Jan 2025

Dividend history

Ex-div datePer share amountReinvestment price
02 Dec 20240.00421.5877
01 Nov 20240.00351.5561
01 Oct 20240.00481.5783
02 Sep 20240.00541.5644
01 Aug 20240.00361.5597
01 Jul 20240.00511.52
03 Jun 20240.0051.5173
01 May 20240.0051.4918
02 Apr 20240.00641.5077
01 Mar 20240.00441.4837
01 Feb 20240.00341.472
02 Jan 20240.00431.4711
01 Dec 20230.00471.4201
01 Nov 20230.0031.3693
02 Oct 20230.00511.3863
01 Sep 20230.00471.3893
01 Aug 20230.00381.3981
03 Jul 20230.00561.3847
01 Jun 20230.00391.3738
02 May 20230.00451.3978
03 Apr 20230.00621.3934
01 Mar 20230.00351.4071
01 Feb 20230.00341.4143
03 Jan 20230.00481.3784
01 Dec 20220.00381.3929
01 Nov 20220.00251.3461
03 Oct 20220.0041.2987
01 Sep 20220.00471.3665
01 Aug 20220.00341.3987
01 Jul 20220.00581.353
01 Jun 20220.00371.4107
03 May 20220.00391.4006
01 Apr 20220.00621.4294
01 Mar 20220.00271.4211
01 Feb 20220.0031.4476
04 Jan 20220.00411.4688
01 Dec 20210.00331.435
01 Nov 20210.00211.4384
01 Oct 20210.00411.4155
01 Sep 20210.00461.4465
02 Aug 20210.00391.4265
01 Jul 20210.0051.4198
01 Jun 20210.00321.4072
04 May 20210.00461.4047
01 Apr 20210.00491.377
01 Mar 20210.00271.3487
01 Feb 20210.00311.3444
04 Jan 20210.00361.3584
01 Dec 20200.00291.33
02 Nov 20200.00311.2546
01 Oct 20200.00341.2756
01 Sep 20200.00331.2687
03 Aug 20200.00361.2587
01 Jul 20200.00461.2575
01 Jun 20200.0031.246
01 May 20200.00331.2053
01 Apr 20200.00451.1547
02 Mar 20200.0031.2633
03 Feb 20200.00271.3213
02 Jan 20200.00331.3371
02 Dec 20190.00331.3168
01 Nov 20190.00381.3048
01 Oct 20190.00411.3161
02 Sep 20190.00441.3087
01 Aug 20190.00291.3209
01 Jul 20190.00461.3034
03 Jun 20190.00321.2613
01 May 20190.00491.2795
01 Apr 20190.00461.2609
01 Mar 20190.00411.2423
01 Feb 20190.0031.2247
02 Jan 20190.0031.1886
03 Dec 20180.0031.2263
01 Nov 20180.00281.2131
01 Oct 20180.01161.2465
03 Sep 20180.0031.251
01 Aug 20180.0031.2432
02 Jul 20180.0031.2329
01 Jun 20180.0031.236
01 May 20180.0031.2231
03 Apr 20180.0031.1929
01 Mar 20180.0031.2117
01 Feb 20180.0031.2341
02 Jan 20180.0031.2341
01 Dec 20170.0031.2164
01 Nov 20170.0031.2238
02 Oct 20170.00541.2105
01 Sep 20170.0031.2217
01 Aug 20170.0031.2082
03 Jul 20170.0031.2045
01 Jun 20170.0031.2139
02 May 20170.0061.1929
03 Apr 20170.00671.1912
01 Mar 20170.00251.1871
01 Feb 20170.00221.155
03 Jan 20170.00321.1535
01 Dec 20160.00241.1129
01 Nov 20160.00251.1358
03 Oct 20160.00261.1343
01 Sep 20160.00341.1268
01 Aug 20160.00241.1135
01 Jul 20160.00331.0845
01 Jun 20160.00171.0507
03 May 20160.00521.0443
01 Apr 20160.00311.0351
01 Mar 20160.00271.0249
01 Feb 20160.00211.0164
04 Jan 20160.00171.0196
01 Dec 20150.00191.0312
02 Nov 20150.00181.0148
Please note that past performance is not a reliable indicator of future returns.


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