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Jupiter European Income Fund (Acc)  

The Jupiter European Income Fund aims to produce a high and rising income by investing chiefly in high quality companies with European operations or stock market listings.  The manager aims to outperform the MSCI Europe EX UK Index.

The manager normally looks for businesses with strong franchises and sustainable growth prospects that are growing their dividends.  He looks particularly for companies and industries where there is structural change as this can provide the opportunity to buy into companies at good valuations.
 
Fund manager 
Cédric de Fonclare assumed management of the Fund in July 2011.

Key fund facts

  • Invests in high quality companies with operations or stock market listings in Europe
  • Portfolio contains a well diversified range of medium and large-sized businesses which the fund manager believes will produce steadily growing profits
  • Manager looks to take advantage of both Jupiter's strong thematic and geographic approach to income investing as well as its talented European managers

Downloads

 Fund factsheet

Fund Ratings
  1. Lipper Total Return: 1
  2. Lipper Consistent Return: 1
  3. Lipper Capital Preservation: 1

Fund Manager
    Cédric de Fonclare
Bid Price (p)Offer Price (p)Historic Yield (%)Fund Size (£m)
41.7844.124.123.3

Percentage Growth
1 Year3 Years5 YearsSince Launch
-8.012.8 - -18.8

Year on year percentage growth
2006 - 072007 - 082008 - 092009 - 102010 - 11
- -24.726.1-2.7-8.0

Fund prices and yields are calculated as at the valuation point on 8/2/2012

Please remember past performance should not be seen as a guide to future returns.

The value of an investment in a unit trust and the income from it can fall as well as rise and may be affected by exchange rate variations and you may not get back the amount you invested.

Performance data source: Financial Express, net income reinvested at UK basic rate of tax to 30/11/2011. For confirmation of individual fund launch dates, please see the Fund Information tab of the All Funds table. The OBSR Ratings are as at 30/11/2011. The Citywire ratings shown are the three year ratings as at 30/11/2011. Lipper ratings are sourced from Lipper as at 30/11/2011. Please see the online glossary within the help section for further definition of these ratings.

The Historic Yield is based on the net income of its first half-yearly distribution and an estimate of its final distribution as a percentage of the mid-market unit price as at the date shown. It does not include any initial charge and investors may be subject to tax on their distributions.

All of the Fund's expenses are charged to capital. This has the effect of increasing the distributions of the year by 1.86% and restraining the Fund's capital growth to an equivalent extent.

European Funds Application Forms Fund Literature
Introduction to Jupiter European Funds
European Fund
Emerging European Opportunities Fund
European Income Fund (Inc)
European Income Fund (Acc)
European Special Situations Fund
Want to Invest?
Download an application form to invest in this fund.

For more information about the Fund, please read our literature.

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Fundology by John Chatfield-Roberts