Find out more about our Global Best Ideas Equity Fund including our specialist team, investment process and to download fund related resources.
Fund Name
Class
Currency
NAV Price
NAV Price (Prev)
Price Change
Valuation Date
ISIN
B
£
342.8
342
0.8
14 Jan 2025
L
£
343
342.2
0.8
14 Jan 2025
Y
£
365.2
364.3
0.9
14 Jan 2025
Class
Currency
NAV Price
NAV Price (Prev)
Price Change
Valuation Date
ISIN
B
£
342.8
342
0.8
14 Jan 2025
Class
Currency
NAV Price
NAV Price (Prev)
Price Change
Valuation Date
ISIN
L
£
343
342.2
0.8
14 Jan 2025
Class
Currency
NAV Price
NAV Price (Prev)
Price Change
Valuation Date
ISIN
Y
£
365.2
364.3
0.9
14 Jan 2025
This product is based overseas and is not subject to the UK Sustainability Disclosure Requirements (SDR) and investment labels regime.
Fund Name
Class
Currency
NAV Price
NAV Price (Prev)
Price Change
Valuation Date
ISIN
A
$
258.963
259.4051
-0.4421
13 Jan 2025
B
$
273.9933
274.4497
-0.4564
13 Jan 2025
C
£
331.5123
329.9874
1.5249
13 Jan 2025
D
£
342.0588
340.4714
1.5874
13 Jan 2025
D (Acc)
£
102.969
102.4909
0.4781
13 Jan 2025
E
$
234.3031
234.6885
-0.3854
13 Jan 2025
F
£
264.4755
263.2427
1.2328
13 Jan 2025
G
$
227.5266
227.8915
-0.3649
13 Jan 2025
H
£
260.8075
259.5811
1.2264
13 Jan 2025
I
£
219.5404
218.7797
0.7607
13 Jan 2025
Class
Currency
NAV Price
NAV Price (Prev)
Price Change
Valuation Date
ISIN
A
$
258.963
259.4051
-0.4421
13 Jan 2025
Class
Currency
NAV Price
NAV Price (Prev)
Price Change
Valuation Date
ISIN
B
$
273.9933
274.4497
-0.4564
13 Jan 2025
Class
Currency
NAV Price
NAV Price (Prev)
Price Change
Valuation Date
ISIN
C
£
331.5123
329.9874
1.5249
13 Jan 2025
Class
Currency
NAV Price
NAV Price (Prev)
Price Change
Valuation Date
ISIN
D
£
342.0588
340.4714
1.5874
13 Jan 2025
Class
Currency
NAV Price
NAV Price (Prev)
Price Change
Valuation Date
ISIN
DACC
£
102.969
102.4909
0.4781
13 Jan 2025
Class
Currency
NAV Price
NAV Price (Prev)
Price Change
Valuation Date
ISIN
E
$
234.3031
234.6885
-0.3854
13 Jan 2025
Class
Currency
NAV Price
NAV Price (Prev)
Price Change
Valuation Date
ISIN
F
£
264.4755
263.2427
1.2328
13 Jan 2025
Class
Currency
NAV Price
NAV Price (Prev)
Price Change
Valuation Date
ISIN
G
$
227.5266
227.8915
-0.3649
13 Jan 2025
Class
Currency
NAV Price
NAV Price (Prev)
Price Change
Valuation Date
ISIN
H
£
260.8075
259.5811
1.2264
13 Jan 2025
Class
Currency
NAV Price
NAV Price (Prev)
Price Change
Valuation Date
ISIN
I
£
219.5404
218.7797
0.7607
13 Jan 2025
Fund Name
Class
Currency
BID PRICE
OFFER PRICE
Price Change
Valuation Date
ISIN
A
£
4.666
4.669
-0.018
13 Jan 2025
B
£
4.476
4.479
-0.017
13 Jan 2025
C
£
4.545
4.547
-0.017
13 Jan 2025
E
£
-0.011
13 Jan 2025
F
£
-0.011
13 Jan 2025
Class
Currency
BID PRICE
OFFER PRICE
Price Change
Valuation Date
ISIN
A
£
4.666
4.669
-0.018
13 Jan 2025
Class
Currency
BID PRICE
OFFER PRICE
Price Change
Valuation Date
ISIN
B
£
4.476
4.479
-0.017
13 Jan 2025
Class
Currency
BID PRICE
OFFER PRICE
Price Change
Valuation Date
ISIN
C
£
4.545
4.547
-0.017
13 Jan 2025
Class
Currency
BID PRICE
OFFER PRICE
Price Change
Valuation Date
ISIN
E
£
-0.011
13 Jan 2025
Class
Currency
BID PRICE
OFFER PRICE
Price Change
Valuation Date
ISIN
F
£
-0.011
13 Jan 2025
Fund Name
Class
Currency
NAV Price (GBX)
Price Change
Valuation Date
ISIN
L
£
566.6
-1.4
14 Jan 2025
Y
£
606.2
-1.5
14 Jan 2025
B
£
566.3
-1.4
14 Jan 2025
C
£
624.6
-1.5
14 Jan 2025
Class
Currency
NAV Price (GBX)
NAV Price (Prev)
Price Change
Valuation Date
ISIN
L
£
566.6
0
-1.4
14 Jan 2025
Class
Currency
NAV Price (GBX)
NAV Price (Prev)
Price Change
Valuation Date
ISIN
Y
£
606.2
0
-1.5
14 Jan 2025
Class
Currency
NAV Price (GBX)
NAV Price (Prev)
Price Change
Valuation Date
ISIN
B
£
566.3
0
-1.4
14 Jan 2025
Class
Currency
NAV Price (GBX)
NAV Price (Prev)
Price Change
Valuation Date
ISIN
C
£
624.6
0
-1.5
14 Jan 2025
Fund Name
Class
Currency
NAV Price
NAV Price (Prev)
Price Change
Valuation Date
ISIN
C
£
1602
1593
9
14 Jan 2025
B
£
1346
1339
7
14 Jan 2025
L
£
1348
1341
7
14 Jan 2025
Y
£
1523
1515
8
14 Jan 2025
Class
Currency
NAV Price
NAV Price (Prev)
Price Change
Valuation Date
ISIN
C
£
1602
1593
9
14 Jan 2025
Class
Currency
NAV Price
NAV Price (Prev)
Price Change
Valuation Date
ISIN
B
£
1346
1339
7
14 Jan 2025
Class
Currency
NAV Price
NAV Price (Prev)
Price Change
Valuation Date
ISIN
L
£
1348
1341
7
14 Jan 2025
Class
Currency
NAV Price
NAV Price (Prev)
Price Change
Valuation Date
ISIN
Y
£
1523
1515
8
14 Jan 2025