FT.com / Managed Funds
Funds  >  Barmac  >  Barmac Asset Management Ltd  >  The Castleton Growth Fund Instl Inc NAV

Fund DirectoryFund Quick SearchSector Analysis Fund Screener
Fund Directory


The Castleton Growth Fund Instl Inc NAV
  View PDF Print More Docs Add to Portfolio
Analyse ETFs Select Fund(0) Compare Now
 
  108.08 GBX
Nav
-0.31 /  -0.29%
Change / % Change**
110.51 - 102.24
S.I. Range
+5.09 +4.94%
S.I. Change
 
  Latest Price Information as at: 20/11/2009
  As this fund is less than a year old the Since Inception (S.I.) date is used.  
 
Overview of Fund Details, Performance and Risk
 
  At a glance  
  To achieve positive returns by combining capital growth with the generation of some income.  
Charting Information
The Castleton Growth Fund Instl Inc NAV* 4.94%The Castleton Growth Fund Instl Inc NAV* 5.4%The Castleton Growth Fund Instl Inc NAV* 5.17%The Castleton Growth Fund Instl Inc NAV* 5.08%The Castleton Growth Fund Instl Inc NAV* 4.93%The Castleton Growth Fund Instl Inc NAV* 5.04%The Castleton Growth Fund Instl Inc NAV* 5.02%The Castleton Growth Fund Instl Inc NAV* 6.17%The Castleton Growth Fund Instl Inc NAV* 6.51%The Castleton Growth Fund Instl Inc NAV* 6.83%The Castleton Growth Fund Instl Inc NAV* 7.3%The Castleton Growth Fund Instl Inc NAV* 6.74%The Castleton Growth Fund Instl Inc NAV* 5.38%The Castleton Growth Fund Instl Inc NAV* 6.41%The Castleton Growth Fund Instl Inc NAV* 6.14%The Castleton Growth Fund Instl Inc NAV* 6.58%The Castleton Growth Fund Instl Inc NAV* 6.86%The Castleton Growth Fund Instl Inc NAV* 6.38%The Castleton Growth Fund Instl Inc NAV* 6.32%The Castleton Growth Fund Instl Inc NAV* 5.28%The Castleton Growth Fund Instl Inc NAV* 4.59%The Castleton Growth Fund Instl Inc NAV* 5.81%The Castleton Growth Fund Instl Inc NAV* 6%The Castleton Growth Fund Instl Inc NAV* 4.73%The Castleton Growth Fund Instl Inc NAV* 4.47%The Castleton Growth Fund Instl Inc NAV* 5.68%The Castleton Growth Fund Instl Inc NAV* 4.85%The Castleton Growth Fund Instl Inc NAV* 4.57%The Castleton Growth Fund Instl Inc NAV* 3.55%The Castleton Growth Fund Instl Inc NAV* 3.05%The Castleton Growth Fund Instl Inc NAV* 3.28%The Castleton Growth Fund Instl Inc NAV* 2.82%The Castleton Growth Fund Instl Inc NAV* 2.41%The Castleton Growth Fund Instl Inc NAV* 1.7%The Castleton Growth Fund Instl Inc NAV* 1.67%The Castleton Growth Fund Instl Inc NAV* 1.56%The Castleton Growth Fund Instl Inc NAV* 2.19%The Castleton Growth Fund Instl Inc NAV* 2.01%The Castleton Growth Fund Instl Inc NAV* 1.84%The Castleton Growth Fund Instl Inc NAV* 1.88%The Castleton Growth Fund Instl Inc NAV* 2.74%The Castleton Growth Fund Instl Inc NAV* 3.6%The Castleton Growth Fund Instl Inc NAV* 3.1%The Castleton Growth Fund Instl Inc NAV* 3.03%The Castleton Growth Fund Instl Inc NAV* 2.85%The Castleton Growth Fund Instl Inc NAV* 2.98%The Castleton Growth Fund Instl Inc NAV* 3.33%The Castleton Growth Fund Instl Inc NAV* 3.18%The Castleton Growth Fund Instl Inc NAV* 2.95%The Castleton Growth Fund Instl Inc NAV* 4.65%The Castleton Growth Fund Instl Inc NAV* 5.22%The Castleton Growth Fund Instl Inc NAV* 3.16%The Castleton Growth Fund Instl Inc NAV* 1.76%The Castleton Growth Fund Instl Inc NAV* 2.48%The Castleton Growth Fund Instl Inc NAV* 2.75%The Castleton Growth Fund Instl Inc NAV* 2.5%The Castleton Growth Fund Instl Inc NAV* 1.24%The Castleton Growth Fund Instl Inc NAV* 0.97%The Castleton Growth Fund Instl Inc NAV* 1.54%The Castleton Growth Fund Instl Inc NAV* 0.43%The Castleton Growth Fund Instl Inc NAV* 0.47%The Castleton Growth Fund Instl Inc NAV* 0.41%The Castleton Growth Fund Instl Inc NAV* 0.37%The Castleton Growth Fund Instl Inc NAV* 0.33%The Castleton Growth Fund Instl Inc NAV* 0.14%The Castleton Growth Fund Instl Inc NAV* 0.02%The Castleton Growth Fund Instl Inc NAV* 0.03%The Castleton Growth Fund Instl Inc NAV* -0.15%The Castleton Growth Fund Instl Inc NAV* -0.03%The Castleton Growth Fund Instl Inc NAV* -0.03%The Castleton Growth Fund Instl Inc NAV* -0.62%The Castleton Growth Fund Instl Inc NAV* -0.57%The Castleton Growth Fund Instl Inc NAV* -0.71%The Castleton Growth Fund Instl Inc NAV* -0.5%The Castleton Growth Fund Instl Inc NAV* -0.56%The Castleton Growth Fund Instl Inc NAV* -0.65%The Castleton Growth Fund Instl Inc NAV* -0.15%The Castleton Growth Fund Instl Inc NAV* -0.07%The Castleton Growth Fund Instl Inc NAV* -0.03%The Castleton Growth Fund Instl Inc NAV* -0.29%The Castleton Growth Fund Instl Inc NAV* 0%Fund Composite Benchmark 13.93%Fund Composite Benchmark 14.83%Fund Composite Benchmark 13.6%Fund Composite Benchmark 13.21%Fund Composite Benchmark 11.61%Fund Composite Benchmark 11.22%Fund Composite Benchmark 12%Fund Composite Benchmark 13.58%Fund Composite Benchmark 13.78%Fund Composite Benchmark 13.66%Fund Composite Benchmark 13.62%Fund Composite Benchmark 13.47%Fund Composite Benchmark 11.42%Fund Composite Benchmark 11.42%Fund Composite Benchmark 11.69%Fund Composite Benchmark 12.2%Fund Composite Benchmark 12.57%Fund Composite Benchmark 11.47%Fund Composite Benchmark 11.16%Fund Composite Benchmark 9.38%Fund Composite Benchmark 7.85%Fund Composite Benchmark 9.66%Fund Composite Benchmark 9.33%Fund Composite Benchmark 8.44%Fund Composite Benchmark 6.17%Fund Composite Benchmark 6.9%Fund Composite Benchmark 6.35%Fund Composite Benchmark 5.86%Fund Composite Benchmark 4.34%Fund Composite Benchmark 2.76%Fund Composite Benchmark 3.11%Fund Composite Benchmark 2.24%Fund Composite Benchmark 0.9%Fund Composite Benchmark -1.39%Fund Composite Benchmark -2.24%Fund Composite Benchmark -1.09%Fund Composite Benchmark 0.21%Fund Composite Benchmark -0.42%Fund Composite Benchmark -1.61%Fund Composite Benchmark -0.25%Fund Composite Benchmark -0.35%Fund Composite Benchmark 1.05%Fund Composite Benchmark 0.83%Fund Composite Benchmark 0.76%Fund Composite Benchmark 0.49%Fund Composite Benchmark 0.04%Fund Composite Benchmark -0.94%Fund Composite Benchmark 0.06%Fund Composite Benchmark -1%Fund Composite Benchmark -0.42%Fund Composite Benchmark -0.81%Fund Composite Benchmark -2.74%Fund Composite Benchmark -4.58%Fund Composite Benchmark -3.78%Fund Composite Benchmark -5.71%Fund Composite Benchmark -4.53%Fund Composite Benchmark -5.52%Fund Composite Benchmark -7.12%Fund Composite Benchmark -5.86%Fund Composite Benchmark -7.99%Fund Composite Benchmark -7.77%Fund Composite Benchmark -6.87%Fund Composite Benchmark -8.54%Fund Composite Benchmark -10.27%Fund Composite Benchmark -11.94%Fund Composite Benchmark -14.25%Fund Composite Benchmark -15.51%Fund Composite Benchmark -12.1%Fund Composite Benchmark -11.42%Fund Composite Benchmark -9.16%Fund Composite Benchmark -6.35%Fund Composite Benchmark -5.98%Fund Composite Benchmark -5.54%Fund Composite Benchmark -7.71%Fund Composite Benchmark -7.79%Fund Composite Benchmark -7.76%Fund Composite Benchmark -8.63%Fund Composite Benchmark -6.11%Fund Composite Benchmark -5.33%Fund Composite Benchmark -1.66%Fund Composite Benchmark 0%
Timeframe:
Fund Composite Benchmark: -1.864%, 3.456%
 
View More Performance Data
View More Risk Data

 
Fund DetailsValuation date:20/11/2009
Nav(GBX)108.08Gross Yield-
Change-0.31Net Yield-
% Change**-0.29Listed Yield-
52w high110.5152w low102.24
Ex-dividend date-Payment date-
** since previous valuation date 19/11/2009
Daily Fund Management
Pricing Frequency Daily
Pricing Method Forward
Pricing Time 10:00 Europe/London
Dealing Hours 09:00 - 17:30 Europe/London


Fund Overview
Fund Type UK Unit Trusts and OEICs
Unit Type Income
Status Uk Authorised
Sector Cautious Managed
Launch Date 05/01/2009
Currency Sterling (GBP)
Domicile Great Britain
ISIN GB00B3FH0G20
SEDOL B3FH0G2
MEXID BCGII
Investing in the Fund
Initial Charge 5.50%
Annual Charge 1.10%
Exit Charge -
Min. Initial Investment 1000.00 GBP
Min. Additional Investment -
Min. Regular Investment 100.00 GBP
UK ISA yes
CAT Standard no
UK PEP yes
   
Fund NameMEXIDPrimary Fund
Full tearsheet availableThe Castleton Growth Fund Retl Inc NAVBHTCG
Full tearsheet availableThe Castleton Growth Fund Instl Acc NAVBCCTGI
Full tearsheet availableThe Castleton Growth Fund Retl Acc NAVBCCTLG

 
Contact Information  
 
Fund Management Group Barmac Website www.barmacuk.com
Fund Management Company Barmac Asset Management Ltd Email office@barmacuk.com
Fund Manager Andy McCarthy Telephone +44 113 395 5323
Fax +44 113 257 7086