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Fund Summary   Fund Performance   Fund Holdings   Fund Manager Profile

BlackRock US Dynamic A Inc
 Basic Fund Information
Fund Currency  GBX (pence)   Change on day  9.00p   IMA Sector  North America
Bid Price  404.70p   YTD return -6.12% Fund Size  £133m
Mid Price  -   Yield  0.04%   Fund Type  UT, ISA, PEP
Offer Price  425.80p   Type  Ret, Inc   Launch Date  31/12/1982
ISIN Code  GB0005803191   FE Fund Rating  Symbol for a FE Crown Rating of 1 (out of 3)   Alpha Manager  -
 Fund Objective
To achieve long-term capital growth for investors. The Fund invests primarily in the shares of companies incorporated or listed in the United States which exhibit either growth or value investment characteristics, placing an emphasis as the market outlook warrants. The Fund may also invest in collective investment schemes.
 Performance Chart
PerfChart
  • Fund: BlackRock US Dynamic
  • Sector: IMA North America
 Simplified Prospectus
Download a copy of the Simplified Prospectus for this fund.
Download Simplified Prospectus (PDF)

 Fund Performance
Total returns % Fund +/-
1 year 4.6 %
3 year -8.0 %
5 year -1.9 %
12 month high 481.00 pence
12 month low 367.40 pence
 Current Market Information
Bid (pence)  404.70p
Mid (pence)  -
Offer (pence)  425.80p
Change  2.16%    9.00p
XD (ex-dividend)  no
Price Date  01/09/2010
 Purchase Information
Min. Investment  £500
Min. Top-up  £100
Initial Charge  5.00%
Annual Management Charge  1.50%
Ex-Dividend Date 10/11/2009
Barclays Stockbrokers
Maximum Initial Charge 
0.5%
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