LF Canlife
European Fund

The LF Canlife European Fund offers investors a diversified portfolio with exposure to companies from the Nordic markets, eurozone and Switzerland with the aim of generating long-term capital growth.

REASONS TO RECOMMEND

DIVERSE OPPORTUNITIES
Europe boasts a wide range of investment opportunities across compelling sectors where its companies are world leaders, such as technology, engineering and luxury goods.

UNCONSTRAINED APPROACH
To make the most of Europe’s potential, it is necessary to be unconstrained and have the freedom to invest anywhere in the region.

PRAGMATIC DECISIONS
We believe in active management because it is the best way to deliver superior returns, but above all, we encourage our managers to make pragmatic decisions when the circumstances demand it.

MANAGER EXPERIENCE
Lead manager Iain McNeill has a long track record of investing in Europe that stretches back more than 20 years. His insight into the region and knowledge of the political and economic factors driving markets allows him to uncover opportunities that drive growth in the portfolio.

 

FUND PERFORMANCE

Past performance is not a guide to future performance. The value of investments may fall as well as rise and investors may not get back the amount invested. Income from investments may fluctuate. Currency fluctuations can also affect performance. Performance figures are on a bid to bid with net income reinvested basis. Valuations are based on the previous day's prices.

HOW THE FUND IS MANAGED

The management team focuses primarily on fundamental bottom-up analysis which is supplemented with a macro-economic overlay. Company meetings and research generate stock ideas for the portfolio while top-down analysis influences the country and sector stance. The fund invests across the market cap spectrum, including under-researched small/mid-caps, and is managed within a risk-aware framework.

The LF Canlife European Fund aims to provide capital growth primarily from investment in shares quoted on European markets (usually this will exclude the United Kingdom).



Please note prior to 07/07/14, the LF Canlife European Fund was known as LF Canlife European Unit Trust.

SHARE CLASS INFORMATION

Share
Class
ISIN SEDOL ONGOING
CHARGE
FIGURE(OCF)
ANNUAL
MANAGEMENT
CHARGE(AMC)
MINIMUM
INITAL
INVESTMENT*
MINIMUM
TOP UP*
C Acc GB00BKRC1492 BKRC149 0.84% 0.75% £100,000 £100
B Acc GB00BKRC1385 BKRC138 1.09% 1.00% £500 £100

FUND MANAGER

IMPORTANT INFORMATION

Due to the underlying assets held, the price of the fund is classed as having above average to high volatility.

Interested in this fund and would like to find out more?

Contact our team who will be happy to answer any questions you may have about this fund.

Tel Icon +44 (0)20 7415 6490

Email Icon contactclinvestments@canadalife.co.uk

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