Fund Facts

 Fund Name  CRUX Pan-European Growth Fund
 Fund Manager(s)  Richard Pease
 Inception  26th March 2018
 Benchmark  MSCI Europe Index
 Status  UCITS (Luxembourg)
 Pricing Frequency  Daily

 


Charges (%) Initial Ongoing
I Acc EUR up to 5% 1.22%
A Acc EUR up to 5% 1.96%
I Acc GBP up to 5% 1.22%

Sub-Fund Name Class Unit Type Share Class Currency ISIN MEXID   CITI Lipper Bloomberg Ticker
CRUX Pan-European Growth Fund I Acc EUR LU1599338578 FUATY NW9G 68421087 CRPEEIA LX
CRUX Pan-European Growth Fund A Acc EUR LU1599338651 FUCKQ NW9F 68421088 CRPEEAA LX
CRUX Pan-European Growth Fund I Acc GBP LU1599338909 FUCWS NW9H 68421081 CRPEGIA LX

Income

Principally a growth fund, it is not managed to generate a specific or growing level of income, however, it does generate a yield.

Fund Manager

Richard Pease
Richard has over three decades of experience in the financial industry. He has managed the CESSF fund since its launch in October 2009.

Fund Aim

To achieve long term capital growth by investing primarily in European equities, including the UK.

Expertise and Experience

Expertise and experience - that's the      Contact Us

Authorised and regulated by the Financial Conduct Authority (ref:623757)

CRUX Asset Management Limited is registered in England & Wales, company number 08697189

Registered Office

5 Stratton Street,
London W1J 8LA

© 2018 CRUX Asset Management Limited. All Rights Reserved

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