Total returns on £1000

| Fund / Benchmark | Change | |
|---|---|---|
| Price | Edinburgh Investment (Ordinary Share) | +29.37% |
| NAV | Edinburgh Investment (Ordinary Share) | +32.59% |
| Morningstar's Benchmark | FTSE All-Share Index | +28.78% |
Edinburgh Investment Trust Plc summary
| Shares outstanding | 195.12m |
|---|---|
| Market cap | 1.16bn GBP |
| Total assets | 1.38bn GBP |
| Total expense ratio | 0.72% |
| Day high | 601.50 |
| Day low | 595.00 |
| Previous close | 596.00 |
| Average volume | 252.13k |
|---|---|
| YTD Change | +17.22 % |
| Beta | 0.6187% |
| Diluted NAV (est) | 597.26 |
| Diluted NAV (last pub) | 592.04 |
| Premium/Discount | -0.21 % |
| Gearing | +117.00 % |
52-week range
463.46
Jun 06 2012
601.50
May 22 2013
Profile
| Management group(s) | INVESCO Asset Management |
|---|---|
| AIC sector | UK Growth & Income |
| ISIN | GB0003052338 |
| Launch date | -- |
| Share type | Ordinary Share |
| Structure | Conventional |
| Base currency | GBP |
Objective
To achieve capital growth that exceeds the FTSE All-share Index and dividend growth that exceeds UK inflation rate.
Management & contract fees
Invesco Asset Management receives a management fee equal to 0.05% of the market capitalisation of the Company's ordinary shares at each month end. IAML will also be entitled to a performance fee in respect of each rolling three year period in which the Company outperforms its benchmark, the FTSE All-Share Index, plus a hurdle rate, being the equivalent of 1.25% p.a., as adjusted for shorter periods.
Dividend
| Div yield | 4.10142 |
|---|---|
| Div ex-date | 01 May 2013 |
| Div pay-date | 23 May 2013 |
Managed by
| Neil Woodford | Start : 15 Sep 2008 |
|---|
