NAV
£3.8774
as of 21 Sep 2023
Investment Approach
Index
Base Currency
GBP
Geography of Investment
North America
Benchmark
FTSE CUSTOM NORTH AMERICA EX CONTROVERSIES EX CW 100% HEDGED TO GBP NET TAX Index
Vehicle
Limited Company
Fund Domicile
United Kingdom
UCITS
No
ISIN
GB00BDCLJX77
Class
No share class