Profile data is unavailable for this security.
Profile
Management group(s) | Fair Oaks Capital Limited |
---|---|
AIC sector | Debt - Structured Finance |
ISIN | GG00BNNLWT35 |
Launch date | 12 Jun 2014 |
Share type | Ordinary Share |
Structure | Investment Trust |
Base currency | USD |
Objective
The investment objective of the Company is to generate attractive, risk-adjusted returns, principally through income distributions.The investment policy of the Company is to invest (either directly and/or indirectly through the Master Fund II and/or Master Fund III) in US, UK and European Collateralised Loan Obligations (“CLOs”) or other vehicles and structures which provide exposure to portfolios consisting primarily of US and European floating-rate senior secured loans and which may include non-recourse financing.
Managed by
Not Disclosed |
---|
Management & contract fees
An advisory fee of 1% p.a. of the NAV. The Investment Advisor agrees to reinvest its fees for a calendar quarter in circumstances where the Shares trade at any discount to the then-prevailing NAV per Share at the end of such quarter.
Institutional shareholders
Holder | Shares | % Held |
---|---|---|
Waverton Investment Management Ltd.as of 17 Oct 2024 | 21.48m | 5.67% |
Momentum Global Investment Management Ltd.as of 31 Oct 2024 | 14.78m | 3.90% |
FIL Investments Internationalas of 30 Sep 2024 | 13.94m | 3.68% |
West Yorkshire Pension Fundas of 31 Mar 2024 | 13.17m | 3.47% |
RM Capital Markets Ltd.as of 31 Oct 2024 | 8.40m | 2.22% |
Rathbones Asset Management Ltd.as of 31 Mar 2023 | 7.70m | 2.03% |
Brooks Macdonald Asset Management Ltd.as of 31 Jan 2022 | 7.55m | 1.99% |
AXA Investment Managers UK Ltd.as of 30 Sep 2022 | 7.44m | 1.96% |
Jupiter Asset Management Ltd.as of 31 Jul 2024 | 6.29m | 1.66% |
abrdn, Inc.as of 31 Jul 2024 | 3.37m | 0.89% |