Total returns on £1000

| Fund / Benchmark | Change | |
|---|---|---|
| Price | Edinburgh Worldwide (Ordinary Share) | +19.51% |
| NAV | Edinburgh Worldwide (Ordinary Share) | +23.21% |
| Morningstar's Benchmark | FTSE World | +30.83% |
Edinburgh Worldwide Investment Trust Plc summary
| Shares outstanding | 49.00m |
|---|---|
| Market cap | 162.90m GBP |
| Total assets | 216.70m GBP |
| Total expense ratio | 1.02% |
| Day high | 338.08 |
| Day low | 333.45 |
| Previous close | 335.25 |
| Average volume | 32.22k |
|---|---|
| YTD Change | +13.84 % |
| Beta | 1.3863% |
| Diluted NAV (est) | 380.45 |
| Diluted NAV (last pub) | 385.97 |
| Premium/Discount | -12.87 % |
| Gearing | +116.00 % |
52-week range
259.00
Jul 26 2012
340.00
May 22 2013
As of last trade
Profile
| Management group(s) | Baillie Gifford & Co |
|---|---|
| AIC sector | Global Growth |
| ISIN | GB0002916335 |
| Launch date | 10 Jul 1998 |
| Share type | Ordinary Share |
| Structure | Conventional |
| Base currency | GBP |
Objective
To achieve long term capital growth by investing in listed companies throughout the world.
Management & contract fees
Management fee is 0.95% p.a. on the first GBP 50 million of net assets and 0.65% on the balance. Performance fee paid annually in arrears as 5%, if out-performance MSCI All Countries World Index between zero and 2%, and as 10% of the out-performance thereafter. Contract terminable of 3 months' notice.
Dividend
| Div yield | 0.66286 |
|---|---|
| Div ex-date | 09 Jan 2013 |
| Div pay-date | 06 Feb 2013 |
Managed by
| Mark Urquhart | Start : 01 Nov 2003 |
|---|
