Royal London Short Duration Global High Yield Bond Fund Z GBP Inc
Category Global High Yield Bond - GBP Hedged
This fund can be held in an Investment ISA, SIPP and Investment Account
Last buy/sell price
£0.7731
£-0.004 (-0.51%)
Fund Code
RLSZI
B979BF4
IE00B979BF49
Prices updated as at 04 Apr 2025
|
Prices in GBP
Investment objective
The investment objective of the Fund is to provide income, the Fund will seek to achieve its objective on an active basis. The Fund will predominantly invest in fixed and floating rate sub-investment grade debt securities with a short duration of approximately 2 years, which will primarily include corporate bonds which are listed or dealt on the Recognised Markets, across the high yield credit spectrum. The Fund will also invest a small portion in fixed and floating rate investment grade securities, which will primarily include bonds. The Fund will also invest in fixed and floating rate investment grade and sub-investment grade government bonds which are listed or dealt on the Recognised Markets. The Fund may also invest in investment grade and non-investment grade fixed-income or floating rate securities that include zero coupon bonds, deferred interest bonds and bonds on which the interest is payable in the form of additional bonds of the same kind.
Important notice: This product is based overseas and is not subject to UK sustainable investment labelling and disclosure requirements. Please refer to the FCA website which details further information in relation to sustainability disclosure requirements for retail clients.
Important documents: Please ensure that you have read the Key Information Document/Technical Guide
, Pre-sale Illustrations document & Doing Business with Fidelity document (incorporating the Fidelity Client Terms) and the fund information documents. These can be found within the Charges & documents section.
- Key stats
- Growth
- Performance
- Charges & documents
- Dividends
- Portfolio
- Risk & rating
- Management
Dividend information
Dividend information | |
---|---|
4.95 | |
- | |
- | |
Semi-Annually | |
28 Feb 2025 |
Dividend history
Ex-div date | Per share amount | Reinvestment price |
---|---|---|
02 Jan 2025 | 0.017568 | 0.7678 |
01 Jul 2024 | 0.017802 | 0.7601 |
02 Jan 2024 | 0.016831 | 0.7577 |
03 Jul 2023 | 0.017392 | 0.7411 |
03 Jan 2023 | 0.019072 | 0.734 |
01 Jul 2022 | 0.019486 | 0.7183 |
04 Jan 2022 | 0.019607 | 0.7988 |
01 Jul 2021 | 0.019024 | 0.808 |
04 Jan 2021 | 0.01837 | 0.8127 |
01 Jul 2020 | 0.019221 | 0.804 |
02 Jan 2020 | 0.020769 | 0.8512 |
01 Jul 2019 | 0.021258 | 0.8606 |
02 Jan 2019 | 0.022397 | 0.8513 |
02 Jul 2018 | 0.02336 | 0.8711 |
02 Jan 2018 | 0.024445 | 0.8925 |
03 Jul 2017 | 0.024621 | 0.9094 |
03 Jan 2017 | 0.027691 | 0.9197 |
01 Jul 2016 | 0.029126 | 0.9276 |
04 Jan 2016 | 0.033736 | 0.9341 |
01 Jul 2015 | 0.036226 | 0.9564 |
02 Jan 2015 | 0.03781 | 0.9609 |
Please note that past performance is not a reliable indicator of future returns.