Schroder Tokyo Acc

(SB-298342 GB0007650640 GBP)
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Price 1.69
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Updated 21/05
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When purchasing a fund we will ask you to confirm that you have seen the relevant Simplified Prospectus or Key Investor Information Document, as appropriate, and send you an email with the document for your records. Without this confirmation, or where the relevant document is not available, we will not be able to accept your order. See the Funds dealing section for more details.

Fund Objectives

The fund aims to provide capital growth. At least 80% of the fund will be invested in shares of Japanese companies. The fund has no bias to any particular industry or size of company. Investment is based on Japan's economic strengths, such as its manufacturing industry (in particular those parts that are demonstrating an ability to exploit newly emerging technology) and on sectors benefiting from structural change in the economy. The fund leverages Tokyo based in-house research to identify and invest in attractively valued companies - those whose share prices appear low relative to long-term profit potential. These opportunities are likely to be found across a broad range of industries and are identified by an intensive programme of inhouse company contact and analysis. The fund may also invest in other financial instruments and hold cash on deposit. Derivatives may be used to reduce risk or manage the fund more effectively.

Fund Group

Name Schroder Unit Trusts (UK)
Address 31 Gresham Street
Zipcode EC2V 8AS
City London
Country GBR
Telephone 0800-718777
Fax 0800-718788
Website Click here to visit

Style Box


Value Blend Growth
     
 Large
     
 Medium
     
 Small

Fund Details

Full Name Schroder Tokyo A Acc
Currency GBP
ISIN GB0007650640
Morningstar Id F0GBR04RXH
Morningstar Category Japan Large-Cap Equity
Type UT
Fund Size (Mil) (30/04/2012) GBP 743.18
Launch Date 27/02/1981
Fund Manager Andrew Rose
Start Date 01/04/2004
Documents Simplified Prospectus

Fees

Fund Selftrade
Min. Initial Investment (GBP)* 1,000
Min. Sub Investment (GBP) 500
Initial Charge 3.25% 0.00
Management Fee 1.50%
ISA Eligible Yes

Please note: for purchases, the unit price shown on your contract note will be adjusted to reflect the impact of any net initial charge, as shown above. The discount terms noted on the contract note may be incorrect and we are currently working to correct this.

How we adjust the unit price

*This is the standard minimum investment level set by the fund manager. We sometimes have some flexibility with the fund manager so if the minimum investment level is higher than the amount you are looking to invest, please place your trade in the normal way and where possible we will process your investment. If your investment is not accepted by the fund manager we will notify you.

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