CT Global Multi Asset Income Fund

Select share classes

CT Global Multi Asset Income Fund Z Accumulation GBP

Category GBP Allocation 40-60% Equity


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

193.42p

arrow-up0.72p (+0.37%)

Fund Code

THGMA

BNG6455

GB00BNG64558

Prices updated as at 12 Dec 2025
|
Prices in GBX

Investment objective
The investment objective of the Fund is to achieve income with the prospect of capital appreciation over the medium to long term. The Fund’s investment policy is to actively manage a global portfolio with exposure primarily to fixed income, equities and property and, in addition, to cash, money market instruments, currencies, commodities and other alternative asset classes. The ACD will vary the exposure between these asset classes as deemed necessary in order to achieve the investment objective, and this may result in the Fund having no exposure to particular asset classes. The Fund will invest in regulated and unregulated collective investment schemes and may also invest in transferable securities, derivatives, forward transactions, cash, deposits and money market instruments. Investments in collective investment schemes may include those managed, operated or advised by the ACD, or a company in the same group as the ACD.

Dividend information

Dividend information
-
3.06
-
Quarterly
23 Jan 2026

Dividend history

Ex-div datePer share amountReinvestment price
26 Nov 20250.0160431.9306
26 Aug 20250.0097081.8699
27 May 20250.0196411.7915
26 Feb 20250.0103621.8186
26 Nov 20240.0152921.7988
27 Aug 20240.0109641.7578
28 May 20240.017151.6978
26 Feb 20240.0103381.6615
27 Nov 20230.0150831.5821
29 Aug 20230.0106341.5533
26 May 20230.0158451.5348
27 Feb 20230.0095011.5606
28 Nov 20220.0114291.5774
26 Aug 20220.0078851.5978
26 May 20220.0178611.568
28 Feb 20220.0076381.5618
26 Nov 20210.011931.6065
26 Aug 20210.0070671.5828
26 May 20210.0166061.5312
26 Feb 20210.0065511.4886
26 Nov 20200.0119311.4677
26 Aug 20200.0064661.4133
26 May 20200.0142051.3501
26 Feb 20200.0069071.403
26 Nov 20190.0145531.4079
27 Aug 20190.0083971.3873
28 May 20190.0103921.3567
26 Feb 20190.0075581.3219
26 Nov 20180.0127231.3052
28 Aug 20180.0081431.3546
25 May 20180.0125961.3319
26 Feb 20180.0067551.3051
27 Nov 20170.0118821.3143
29 Aug 20170.0073551.2972
26 May 20170.0130181.2862
27 Feb 20170.0065981.2586
25 Nov 20160.0109161.1948
26 Aug 20160.0052231.1972
26 May 20160.0164221.1193
26 Feb 20160.0009641.1104
26 Nov 20150.0141751.0996
26 Aug 20150.0049131.0476
26 May 20150.0167451.0891
25 Feb 20150.0006591.069
Please note that past performance is not a reliable indicator of future returns.


Important Information

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