A long-term multi-asset fund which aims to provide a total return (growth in capital and income) over the long term (defined as five years) of UK CPI + 5% per annum, before costs and charges.
A long-term, multi-asset fund which incorporates a wide range of client-driven ethical restrictions. The fund aims to provide a total return (growth in capital and income) over the long term (defined as five years) of UK CPI + 5% per annum, before costs and charges.
A long term fund which invests in the shares of companies from around the world.
A long-term, actively managed and diversified UK property fund.
An actively managed fund invested in a range of fixed and floating rate debt and debt-related instruments issued by corporates and governments including loans, inflation-linked securities, money market instruments and asset backed or other securitised products.
A short-term fund, which aims to provide a high level of capital security and a competitive yield.
A long-term, multi-asset fund which adopts a faith consistent investment policy that is designed to reflect the teachings and mission of the Catholic Church. The fund aims to provide a total return (growth in capital and income) over the long term (defined as five years) of UK CPI + 5% per annum, before costs and charges.
A multi-asset fund which aims to provide a total return after costs, of inflation, plus 2% per year over the long term (defined as five years).
A long-term multi-asset fund which aims to provide a total return (growth in capital and income) over the long term (defined as five years) of UK CPI + 5% per annum, before costs and charges.
A long-term global equity fund which aims to provide a total return (the combination of capital growth and income) by investing in high-quality companies from around the world. The fund is managed in line with CCLA’s approach to investing for a better world.
A long-term, actively managed fund. The fund invests at least 80% in UK equities. Up to 20% of the fund can be invested in the shares of companies not listed in the UK.
A long-term, actively managed and diversified UK property fund.
An actively managed fund invested in a range of fixed and floating rate debt and debt-related instruments issued by corporates and governments including loans, inflation-linked securities, money market instruments and asset backed or other securitised products.
A short-term fund, which aims to provide a high level of capital security and competitive level of income.
The PSDF is a low volatility net asset value money market fund (LVNAV MMF) which is a short term MMF.
A long-term, actively managed and diversified fund of UK commercial property.
A multi-asset fund which aims to provide a total return after costs, of inflation, plus 2% per year over the long term (defined as five years).
A long-term global equity fund which aims to provide a total return (the combination of capital growth and income) by investing in high-quality companies from around the world. The fund is managed in line with CCLA’s approach to investing for a better world.
A multi-asset fund which aims to provide a total return after costs, of inflation, plus 2% per year over the long term (defined as five years).