Simon Evan-Cook is senior investment manager of the Premier Multi-Asset funds at Premier Asset Management. Simon is co-manager on Premier’s Multi-Asset funds, and researches overseas equity fund sectors. Prior to joining Premier in 2006, Simon held positions at Rothschild, Gartmore and Fidelity. He graduated from Hull University in 1996 with a BSc Honours in economics and accounting.
David Hambidge is director of Multi-Asset Funds and is part of the fund management team for Premier Asset Management’s multi-asset fund range. He joined Premier in 1987. David has 27 years of investment experience and has managed multi-asset style funds since 1995. David leads the multi-asset investment team which includes head of research Ian Rees who joined in 2000, investment managers David Thornton and Simon Evan-Cook who joined in 2006, and Nick Kelsall since 2001.
Ian Rees has been with Premier Asset Management since 2000 and joined the Pooled Funds team in April 2005. Ian was formerly the senior research analyst for closed end funds and has worked on global equity and utility & infrastructure.
David Thornton joined Premier in May 2006 and currently co-manages a number of discretionary multi-asset portfolios. He has research responsibility for the fixed interest, European equity, property and absolute return sectors. Previously, David worked for several years as an investment analyst before becoming an investment manager in 2004, with responsibility for five discretionary multi-manager portfolios. He has a BEng (Hons) in mechanical engineering from the University of Bristol, holds the IMC and has completed the certificate in financial planning.
The Fund aims to grow the value of an original investment over the long term and provide investors an income. The investment policy of the Fund is to invest in units in collective investment schemes, the Fund may also invest in equities, fixed interest securities, money market instruments, deposits and warrants. The Fund may invest in unregulated collective investment schemes such as hedge funds (where investment in such funds would be consistent with the investment objective and policy of the Fund).
Rank 223/262 Total Return
Rank 62/262 Standard Deviation
Rank 97/262 Max Drawdown
|221||SVS Cornelian Growth B Acc||GBP||
|222||LF Heartwood Income Plus Multi Asset A Inc||GBP||
|223||Premier Multi-Asset Growth & Inc C Inc||GBP||
|224||SVS TPI Balanced 7 A Acc||GBP||
|225||JK Global Opportunities Fund USD||GBP||
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|61||Jupiter Merlin Balanced Portfolio Acc||GBP||
|62||Premier Multi-Asset Growth & Inc C Inc||GBP||
|63||LF Canlife Portfolio VI B Acc||GBP||
|64||SVS TPI Growth 7 A Acc||GBP||
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Month by Month Performance
Returns Vs Risk
- United Kingdom
- Launch date05/11/2012
- Share Class size212Mn
- Base currencyGBP
- Min. initial investment250,000
- Min. regular additional investment0
- Annual management0.75%
- Initial investment0.00%