Jupiter Fund Of Investment Trusts Income Units

Sell : 82.32p | Buy : 87.81p | down 0.12p
Last valuation as at 07-01-2009

At a glance

Initial charge 5.25%
Initial saving 5.00%
Annual charge 1.50%
Annual saving 0.250% ²
Total Expense Ratio 1.89%
Launch date 09-12-1996
Launch price £0.50
Sector Global Growth
Fund size £77 million
Number of holdings 82
Fund type Unit Trust
Type of units Income

HL Research - Our view on this Fund

Mark Dampier Widening trust discounts magnified losses. Fund remains focused on managers with good track records.

Full research

About the Fund Manager

Photo of Laurie Petar

Laurie Petar
Located in: London


Laurie Petar joined Jupiter Asset Management Limited in November 1999 and is Manager of the Jupiter Fund of Investment Trusts and Jupiter Monthly Income Fund.

Laurie is a specialist Investment Trust Manager and has over 30 years investment experience. Prior to managing funds at Jupiter, Laurie was a consultant to HSBC Securities and an Executive Director at UBS Securities.

Laurie has managed the Jupiter Fund of Investment Trusts since November 1999.

 

Income details

Running yield N/a
Income paid Bi-annually
Type of payment Dividend

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

Distribution dates

Ex-dividend date 01 May 2009
Payment date ³ 30 June 2009
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Top 10 sectors

Equity Investment Instruments 83.25%
Cash and Equiv. 8.18%
Non-Classified 7.42%
Real Estate Investment & Services 0.56%
Financial Services 0.44%
Bonds 0.10%
Nonequity Investment Instruments 0.06%

Top 10 countries

Non-Classified 83.33%
Cash and Equiv. 8.18%
United Kingdom 3.51%
Netherlands 2.87%
Luxembourg 2.11%

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 07-01-2009. Data accurate as at 30/11/2008.

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