Sarasin Global Equity Real Return Fund (Class P Acc)

Category GBP Allocation 80%+ Equity


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This fund can be held in an Investment ISA, SIPP and Investment Account
Last buy/sell price

262.70p

arrow-up1.80p (+0.69%)

Fund Code

SALPA

B7W4B05

GB00B7W4B053

Prices updated as at 12 Dec 2025
|
Prices in GBX

Investment objective
The Manager seeks to grow the Fund (through increases in investment value and income) by 4% per year more than the Consumer Price Index (CPI) over a rolling 5 year period after deducting fees and costs. In normal market conditions the Manager invests at least 75% of the Fund in the shares of companies from around the world. The Fund may however hold more or substantially less than 75% of the Fund in shares when the Manager deems it appropriate in order to manage difficult market conditions.

Company name
Sarasin Investment Funds Ltd
Fund launch date
08 May 2006
Domicile
United Kingdom
UCITS
Yes
Lead manager
Alastair Baker
Lead manager start date
01 Dec 2023
Lead fund manager biography
Alastair is responsible for managing the Target Return Mandate with Guy Monson, Chief Market Strategist, and Senior Partner. Prior to joining Sarasin, Alastair worked at abrdn where he lead a strategic review of their Multi Asset and ESG investment capabilities working closely with the executive leadership. He has also worked at Schroders where he was responsible for Diversified Growth Mandates which sought to deliver clients inflation plus returns over a market cycle and Total Return Mandates which sought to deliver cash plus returns over 3 years. Alastair is a graduate of Bristol University where he holds a First in Economics and Econometrics.
Fund manager
Phil Collins
Manager start date
01 Dec 2023
Fund manager biography
Phil oversees the multi-asset franchise. Phil has more than 35 years’ investment experience. Recently appointed to CIO, Multi Asset to oversee the Multi-Asset franchise and develop Sarasin & Partners’ expanding investment team. Prior to joining Sarasin & Partners in 2013, he worked at Newton Investment Management where he was Chief Investment Officer of the private clients and charities division. He also established and managed the Newton Phoenix range of funds which enjoyed strong performance and won a number of awards. Before joining Newton, Phil held investment management roles at Capital House & Leopold Joseph. Fellow of the Chartered Institute for Securities & Investment.
Head office
Juxon House
100 St. Paul’s Churchyard
London
United Kingdom
EC4M 8BU
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