The Trust invests primarily in equities and equity-related securities of companies incorporated in, or exercising the predominant part of their economic activity in Europe excluding the United Kingdom, or quoted or traded on the stock exchanges in Europe excluding the United Kingdom.

The Trust is subject to risks, such as investment, equities and equity-related securities, liquidity, currency risks and the risks of investing in small and mid-capitalisation companies and convertible bonds.

The Trust’s investments may be concentrated in European markets and the Trust may be subject to higher volatility risk and the sovereign debt risk of certain countries within the Eurozone. Investing in emerging markets may involve increased risks, including liquidity, currency/currency control, political and economic uncertainties, legal and taxation, settlement, custody and volatility risks.

The Manager integrates environmental, social and governance (ESG) information into the investment process, which may affect the Fund’s investment performance and, as such, may perform differently compared to similar collective investment schemes.

The Trust may invest in derivatives for efficient portfolio management (including hedging) purposes which may involve counterparty/credit, liquidity, valuation, volatility and over-the-counter transaction risks. Exposure to financial derivative instruments may lead to a high risk of significant loss by the Trust.

Investors may suffer substantial loss of their investments in the Trust.

Barings European Growth Trust

PUBLIC EQUITIES

Class A GBP Inc
ISIN GB0000804335
ISIN

GB0000804335

Quick Links

Factsheet

Prospectus

KFS

NAV

GBP 17.950

As of 19/4/2024

Objective

The investment objective of the Barings European Growth Trust (“the Trust”) is to achieve capital growth by investing in equities in Europe excluding the United Kingdom.

Strategy

The investment team builds a focused, high conviction portfolio of carefully selected investments with the aim of producing relatively attractive risk-adjusted returns.

 

Fund Facts

Fund Type

UCITS Funds

Inception Date

30/6/1983

Domicile

UK

Share Class Information

Dealing Frequency

Daily

Management Charges

1.50%

Inception Date

23/1/1983