Acorn Income Fund LtdAIF:LSE

301.50
1.50 / 0.50%
53.59k
18.51 %
0.7717
Latest price in GBXToday's changeShares traded1 year changeBeta
Data delayed at least 15 minutes, as of Mar 27 2015 15:03 GMT.

Total returns on £1000

Fund / BenchmarkChange
PriceAcorn Income Fund (Split) (Ordinary Share)-13.58 %
Acorn Income Fund (Split) (Ordinary Share)-2.61 %
Morningstar's BenchmarkFTSE SmallCap (ex Inv Cos)+1.77 %
As of Mar 23 2015.

Acorn Income Fund Ltd summary

Shares outstanding36.23m
Market cap51.60m GBP
Total assets79.00m GBP
Total expense ratio1.83%
Day high--
Day low--
Previous close300.00
Average volume48.65k
YTD Change-1.39 %
Beta0.7717%
Diluted NAV (est)349.97
Diluted NAV (last pub)362.66
Premium/Discount-14.28 %
Gearing+148.00 %
52-week range
Today
277.15
Oct 16 2014
384.59
Apr 07 2014

As of last trade AIF:LSE traded at 301.50, 8.79% above its 52-week low of 277.15, set on Oct 16, 2014.

Data delayed at least 15 minutes, as of Mar 27 2015 15:03 GMT.

RNS Company announcements

Net Asset Value(s)
Net Asset Value(s)
Net Asset Value(s)
Holding in Company
Net Asset Value(s)

Profile

Management group(s)Unicorn Asset Management
AIC sectorSplit Capital Trust
ISINGB0004829437
Launch date11 Feb 1999
Share typeOrd Income
Structure
Base currencyGBP

Objective

To achieve income & capital growth by investing primarily in smaller UK companies.

Management & contract fees

Management fee of 0.7% p.a. of gross assets. A performance fee of 15% of any excess over a total return of 10% per annum.

Dividend

Div yield4.33333
Div ex-date19 Mar 2015
Div pay-date27 Mar 2015

Managed by

Fraser Mackersie Start : 01 Dec 2013
Simon Moon Start : 01 Dec 2013
Data delayed at least 15 minutes, as of Mar 27 2015 15:03 GMT.
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