Oasis Crescent Global Medium Equity Fund

Select share classes

Oasis Crescent Global Medium Equity Fund Class F (GBP) Shares (Dist)

Category Islamic Allocation - Other


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

£12.7537

arrow-up£0.023 (+0.18%)

Fund Code

OGMFI

BLD0V99

GB00BLD0V993

Prices updated as at 17 Dec 2025
|
Prices in GBP

Investment objective
The objective of the Fund is to achieve real growth of capital and income for investors (net of fees) over rolling ten year periods in excess of the Consumer Price Index (“CPI”) rate of the OECD countries + 0.5%. The Fund is actively managed in accordance with Shari’ah principles. The Fund is a multi-asset fund which aims to achieve its Investment Objective by investing globally in equity securities, fixed income securities, debt securities, indirect exposure to property, indirect exposure to commodities and cash or cash equivalents. Investment in debt securities includes fixed and/or floating rate instruments including, but not limited to commercial paper, floating rate notes, certificates of deposits, freely transferable promissory notes and bonds (government and/or corporate).

Dividend information

Dividend information
-
0.00
-
Quarterly
01 Oct 2025

Dividend history

Ex-div datePer share amountReinvestment price
01 Oct 20250.03347212.3996
01 Jul 20250.06151511.2501
01 Apr 20250.03806911.4251
01 Oct 20240.03732311.3441
01 Jul 20240.06914511.3572
02 Apr 20240.04209511.3654
02 Jan 20240.06497511.0073
02 Oct 20230.03432710.8366
03 Jul 20230.06378810.7363
03 Apr 20230.03075810.9251
03 Jan 20230.0542211.098
03 Oct 20220.02889811.1152
01 Jul 20220.04518611.2784
01 Apr 20220.05093711.181
01 Oct 20210.04118610.6751
09 Dec 20200.029810.252
01 Oct 20200.0153169.917
01 Jul 20200.04310110.055
01 Apr 20200.021499.181
02 Jan 20200.04000810.194
01 Oct 20190.01670810.159
01 Jul 20190.0152599.978
02 Jul 20180.0009849.629
02 Jan 20180.0000019.601
03 Jan 20170.0168929.783
03 Oct 20160.0139099.511
01 Jul 20160.0570819.02
14 Apr 20160.0236968.516
15 Jan 20160.037647.793
14 Oct 20150.0189157.764
14 Jul 20150.0434377.981
02 Jan 20150.0270587.953
Please note that past performance is not a reliable indicator of future returns.


Important Information

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