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Artemis Strategic Assets Fund I Acc (0P0000K1UM)

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1.005 +0.001    +0.12%
26/11 - Delayed Data. Currency in GBP
Type:  Fund
Market:  United Kingdom
Issuer:  Artemis Fund Managers Limited
ISIN:  GB00B3VDD431 
Asset Class:  Equity
  • Morningstar Rating:
  • Total Assets: 174.64M
Artemis Strategic Assets Fund I Acc 1.005 +0.001 +0.12%

Artemis Strategic Assets Fund I Acc Overview

 
On this page you'll find an in-depth profile of Artemis Strategic Assets Fund I Acc. Learn about the key management, total assets, investment strategy and contact information of 0P0000K1UM among other information.
Category

GBP Flexible Allocation

Total Assets

174.64M

Expenses

Inception Date

May 26, 2009

Investment Strategy

To grow the value of investor's investment by greater than 3% above the Consumer Price Index (CPI) per annum after fees over a minimum five-year period, by strategically allocating the fund’s assets within a diversified range of asset classes in markets around the world. The fund may invest directly, or indirectly via derivatives, in the following instruments: • Exchange traded funds and notes. • Company shares. • Fixed interest securities (known as bonds), whether issued by a company, a government, or another entity. • Other funds managed by Artemis. • Money market instruments, cash and near cash.

Contact Information

Address 57-59 St James’s Street
London, SW1A 1LD
United Kingdom
Phone +44 8000922051

Top Executives

Name Title Since Until
David Hollis - 2023 Now
Biography David Hollis is a Portfolio Manager in the Investment Solutions team and is responsible for the investment strategy, tactical asset allocation and performance of several of the Firm’s global multi-asset funds. Together with the rest of the team, David provides advice on strategic asset allocation, advisory and liability management of the Group’s life insurance assets in Asia. David joined Eastspring Investments as Investment Director in January 2018. Prior to joining Eastspring Investments, David worked for 17 years at Allianz Global Investors (Formerly Dresdner RCM) in London. For the last 10 years, he was responsible for the management, performance and advisory of the global multi asset funds in the UK. Prior to this, he worked in various roles within the global fixed income team at Dresdner RCM in London. David has over 19 years experience in a plethora of asset classes, having successfully combined a profound understanding of asset markets with active portfolio management for many years. David holds a Bachelor of Science (First Class Hons) in Economics from the London School of Economics (1998), London, UK.
Kartik Kumar - 2017 2023
Biography Kartik manages a multi-asset strategy and a UK-listed investment trust with John Dodd. He joined Artemis in 2012 after graduating from Bristol with a BSc in economics. He worked in our bond, UK equities and global equities teams before he moved to the multi-asset strategy in 2013 and became a manager of the investment trust in 2018. Kartik is a CFA charterholder.Veronica manages Artemis' 'European sustainable growth' strategy alongside Laurent Millet. She joined Artemis in March 2022 with a generalist equity research background, having spent the past four years at Capital Group and the previous four years at Goldman Sachs. She is a CFA charterholder and holds a dual Bachelor of Business Administration in European Management from Lancaster University and Universidad Pontificia de Comillas.
William Littlewood Portfolio Manager 2009 2020
Biography William manages the Artemis Strategic Assets Fund which he launched in 2009. After graduating from Bristol University with a degree in economics, he worked at Jupiter Asset Management from 1989 to 1999. William joined Artemis in December 2005 to launch the Absolute Return Hedge Fund.
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