Aberdeen Global Sterling Corporate Bond Class D Income

Sell : 88.84p | Buy : 88.84p | down 1.46p
Last valuation as at 21-11-2008

At a glance

Initial charge 4.25%
Initial saving 4.25%
Annual charge 1.25%
Annual saving 0.000% ²
Total Expense Ratio 1.46%
Launch date 24-03-2006
Launch price N/a
Sector Offshore
Fund size $12 million
Number of holdings 80
Fund type OEIC
Type of units Income

HL Research - Our view on this Fund

Hargreaves Lansdown research covers the funds we currently highlight and the most popular funds chosen by our clients over the years. This fund does not fall into either of these categories at present.

Full research

About the Fund Manager

Photo of Investment Grade Bond Team

Investment Grade Bond Team


Information about the fund manager is currently unavailable.

 

Income details

Running yield N/a
Income paid Monthly
Type of payment Interest

All yields are variable and not guaranteed. There is currently no yield information available for this fund.

Distribution dates

Ex-dividend date 01 October 2008
Payment date ³ 30 November 2008

Top 10 holdings

PEEL HOLDINGS 9.875% 1ST MTG DEB 30/04/11 GBP 2.90%
Bank Nederlandse Gemeenten 5.75% BDS 2.62%
BOC Group plc 6.5% 2016 2.47%
SKIPTON BUILDING SOCIETY 5.5% 12/12/13 EMTN GBP 2.45%
NETWORK RAIL INFRA FIN 4.75% EMTN 22/01/24 GBP 2.42%
AMP UK FINANCE 7.125% 06/08/2009 CALL/STEP 06/08/2019 2.41%
MONKS INVESTMENT TRUST 11% 1/6/2012 2.21%
OESTERREICH POSTSPARKASSE 6.125% 20/10/14 GBP 2.15%
EDINBURGH INVESTMENT TRUST 11.5% DEB 30/06/14 GBP 2.12%
ARGON CAPITAL PLC 8.162% 05/10/2012 GBP SERIES EMTN 2.09%

Top 10 sectors

Bonds 92.56%
Cash and Equiv. 4.00%
Non-Classified 3.45%

Top 10 countries

United Kingdom 66.01%
Netherlands 10.47%
United States 5.83%
Cash and Equiv. 4.00%
Ireland 3.78%
Australia 2.41%
Austria 2.15%
Non-Classified 2.12%
Canada 1.20%
Italy 1.14%

² Annual saving is not available in the SIPP.

³ If you elect to receive the income from a Vantage ISA, Fund or Share Account, we will collect any dividends for you and then pay them directly into your bank account within the first 10 working days of the following month.

Last valuation as at 21-11-2008. Data accurate as at 30/09/2008.

Data provided by
FundsLibrary