Royal London Sterling Extra Yield Bond Fund Y GBP Income

Category GBP Flexible Bond


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Last buy/sell price

£0.9592

arrow-down£-0.001 (-0.06%)

Fund Code

BJBQC36

IE00BJBQC361

Prices updated as at 25 Sep 2024
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Prices in GBP

Investment objective
The fund’s objective is to achieve a high level of income and to achieve gross redemption yield of 1.25 times the gross redemption yield of the FTSE Actuaries British Government 15 year index. The above objective applies to Class A and Class B shares in each of the sub-funds. The sub-fund seeks to achieve its investment objective by investing at least 75% of its assets in Sterling denominated securities traded principally on the London Stock Exchange or over the counter markets. The sub-fund may also invest up to 25% of its assets in non-Sterling denominated securities traded principally on European, U.S., Canadian and Australian exchanges or over the counter markets.

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.

Dividend information

Dividend information
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Quarterly
30 Aug 2024

Dividend history

Ex-div datePer share amountReinvestment price
01 Jul 20240.0157750.9316
02 Apr 20240.0184220.9291
02 Jan 20240.0158370.9169
02 Oct 20230.0182030.8852
03 Jul 20230.0170030.8825
03 Apr 20230.0167340.8971
03 Jan 20230.0165880.901
03 Oct 20220.0163080.8754
01 Jul 20220.0152890.9299
01 Apr 20220.0158020.9812
04 Jan 20220.0148141.0118
01 Oct 20210.0153891.0245
01 Jul 20210.0147191.0238
01 Apr 20210.0151921.003
04 Jan 20210.0143440.9983
01 Oct 20200.0145570.9522
01 Jul 20200.0133710.9384
01 Apr 20200.015940.885
02 Jan 20200.015381.0451
01 Oct 20190.0170511.0393
01 Jul 20190.0157431.0455
01 Apr 20190.0154391.0321
02 Jan 20190.0174781.016
01 Oct 20180.0152731.0487
02 Jul 20180.0158361.044
03 Apr 20180.015111.0444
02 Jan 20180.0169551.0595
02 Oct 20170.0153691.0521
03 Jul 20170.015881.0363
03 Apr 20170.0169791.0215
03 Jan 20170.0167130.9835
03 Oct 20160.0173380.9901
01 Jul 20160.0168830.9472
01 Apr 20160.0170030.9308
04 Jan 20160.0163360.9518
01 Oct 20150.0175560.9632
01 Jul 20150.0158340.9841
01 Apr 20150.0181571.0032
02 Jan 20150.0196510.994
01 Oct 20140.0192741.011
01 Jul 20140.0193341.0195
01 Apr 20140.0108741.0094
Please note that past performance is not a reliable indicator of future returns.

Important Information

Please note the value of investments can go down as well as up so you may get back less than you invested. This information is not a personal recommendation for any particular investment. If you are unsure about the suitability of an investment you should speak to an authorised financial adviser. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) may not be copied or distributed; and(3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information.

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