Waverton Real Assets Class P GBP Distribution
Category GBP Flexible Allocation
This fund can be held in an Investment ISA, SIPP and Investment Account
Last buy/sell price
£10.59
£0.12 (+1.15%)
Fund Code
WVRPI
BF5KV17
IE00BF5KV170
Prices updated as at 12 Dec 2025
Prices in GBP
Investment objective
The investment objective of the Fund is to generate a positive real return through a combination of capital growth and income via investment of up to 100 percent. of its assets in a diversified portfolio giving exposure to real assets. Real assets include, but are not limited to, real estate, infrastructure, commodities, asset financing, and specialist lending. Exposure to these assets may be obtained via direct and indirect investments in equities, government and corporate Debt Securities, Structured Products, asset-backed securities, deposits, cash, money market instruments, ETFs, exchange traded notes and collective investment schemes which may themselves invest in the foregoing asset classes to the extent that these are permitted by the UCITS Rules. Exposure to specialist lending may be obtained via asset-backed securities and collective investment schemes.
Important notice: This product is based overseas and is not subject to UK sustainable investment labelling and disclosure requirements. Please refer to the FCA website which details further information in relation to sustainability disclosure requirements for retail clients.
Important documents: Please ensure that you have read the Key Information Document/Technical Guide
, Pre-sale Illustrations document & Doing Business with Fidelity document (incorporating the Fidelity Client Terms) and the fund information documents. These can be found within the Charges & documents section.
- Key stats
- Growth
- Performance
- Charges & documents
- Dividends
- Portfolio
- Risk & rating
- Management
Dividend information
| Dividend information | |
|---|---|
| - | |
| 5.00 | |
| - | |
| Quarterly | |
| 31 Oct 2025 |
Dividend history
| Ex-div date | Per share amount | Reinvestment price |
|---|---|---|
| 31 Oct 2025 | 0.09356 | 10.33 |
| 31 Jul 2025 | 0.14606 | 9.87 |
| 30 Apr 2025 | 0.09582 | 9.28 |
| 31 Jan 2025 | 0.10137 | 9.03 |
| 31 Oct 2024 | 0.09225 | 9.22 |
| 31 Jul 2024 | 0.119341 | 8.94 |
| 30 Apr 2024 | 0.14369 | 8.62 |
| 31 Jan 2024 | 0.096939 | 8.69 |
| 31 Oct 2023 | 0.095436 | 8.22 |
| 31 Jul 2023 | 0.115667 | 8.73 |
| 28 Apr 2023 | 0.111052 | 9.14 |
| 31 Jan 2023 | 0.102944 | 9.4 |
| 28 Oct 2022 | 0.110094 | 9.44 |
| 29 Jul 2022 | 0.119949 | 10.56 |
| 29 Apr 2022 | 0.088767 | 11.04 |
| 31 Jan 2022 | 0.105458 | 10.61 |
| 29 Oct 2021 | 0.083507 | 10.73 |
| 30 Jul 2021 | 0.117398 | 10.56 |
| 30 Apr 2021 | 0.083374 | 10.18 |
| 29 Jan 2021 | 0.094257 | 9.85 |
| 30 Oct 2020 | 0.081254 | 9.13 |
| 31 Jul 2020 | 0.101528 | 9.14 |
| 30 Apr 2020 | 0.070988 | 8.77 |
| 31 Jan 2020 | 0.152808 | 10.23 |
| 31 Oct 2019 | 0.091034 | 9.95 |
| 31 Jul 2019 | 0.110836 | 10.21 |
| 30 Apr 2019 | 0.071388 | 10.1 |
| 31 Jan 2019 | 0.054091 | 10.036 |
Please note that past performance is not a reliable indicator of future returns.