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  • Fund Type: OEIC
  • Objective: Corporate/Preferred-Inv Grade
  • Asset Class: Debt
  • Geographic Focus: U.K.

Baillie Gifford Bond Funds ICVC - Corporate Bond Fund

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BGFBDBI:LN

81.90 GBp 0.15 0.18%

As of 00:59:30 ET on 05/24/2013.

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Snapshot for Baillie Gifford Bond Funds ICVC - Corporate Bond Fund (BGFBDBI)

Year To Date: +4.70% 3-Month: +4.54% 3-Year: +12.57% 52-Week Range: 72.32 - 82.31
1-Month: +0.87% 1-Year: +18.27% 5-Year: +9.91% Beta vs UKX: 0.30

Mutual Fund Chart for BGFBDBI

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  • BGFBDBI:LN 81.90
  • 1M
  • 1Y
Interactive BGFBDBI Chart

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Fund Profile & Information for BGFBDBI

Baillie Gifford Bond Funds ICVC - Corporate Bond Fund is a UCITS certified open-end investment company incorporated in the United Kingdom. The Fund will produce a high level of monthly income while seeking to limit capital volatility by investing primarily in a diversified portfolio of investment grade and sub-investment grade fixed interest securities denominated in sterling.

Inception Date: 02-26-1999 Telephone: 44-800-917-2113
Managers: STEPHEN RODGER / BEN THOMPSON
Web Site: www.bailliegifford.com

Fundamentals for BGFBDBI

NAV (on 2013-05-24) 81.90
Assets (M) (on 2013-03-28) 266.48
Fund Leveraged N
Minimum Investment 250,000.00
Minimum Subsequent Investment 100.00

Dividends for BGFBDBI

Dividend Type Income
Dividend Frequency Monthly
Last Dividend Net (on 2013-06-03) 0.25
Dividend Yield (ttm) 4.96

Fees & Expenses for BGFBDBI

Front Load 1.00
Back Load -
Current Mgmt Fee 0.50
Redemption Fee -
12b1 Fee -
Expense Ratio 0.57

Top Fund Holdings for BGFBDBI

Filing Date: 02/28/2013
Name Position Value % of Total
TELSEC 6.1645 12/10/31 6,838 7,966,609 3.274%
UPCB 6 ⅜ 09/15/22 8,210 7,048,961 2.897%
GLENLN 7 ½ 10/06/49 7,950 5,690,954 2.339%
TSCOLN 5.4111 07/13/44 5,470 5,647,228 2.321%
KEL 6 04/24/25 4,964 5,585,989 2.296%
CAMBRG 3 ¾ 10/17/52 5,640 5,416,374 2.226%
GS 6 ⅞ 01/18/38 4,708 5,376,301 2.209%
EDF 6 12/29/49 5,100 5,174,715 2.127%
LLOYDS 9.334 02/07/20 4,471 5,001,037 2.055%
BACR 14 11/29/49 3,568 4,781,655 1.965%

Quotes delayed, except where indicated otherwise. Mutual fund NAVs include dividends. All prices in local currency. Time is ET.

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