| Fund |
Share class |
Ongoing charges (%) |
As at
|
| American Fund |
Euro A Acc |
1,66 |
31/08/2011 |
| American Fund |
Euro A-H Acc |
1,72 |
31/08/2011 |
| American Fund |
Euro C Acc |
0,91 |
31/08/2011 |
| American Fund |
Euro C-H Acc |
0,98 |
31/08/2011 |
| American Fund |
USD A Acc |
1,66 |
31/08/2011 |
| American Fund |
USD C Acc |
0,91 |
31/08/2011 |
| Asian Fund |
Euro A Acc |
1,73 |
31/08/2011 |
| Asian Fund |
Euro C Acc |
1,00 |
31/08/2011 |
| Asian Fund |
USD A Acc |
1,78 |
31/08/2011 |
| Asian Fund |
USD C Acc |
1,00 |
31/08/2011 |
| Corporate Bond Fund |
Euro A Acc |
1,41 |
30/06/2011 |
| Corporate Bond Fund |
Euro C Acc |
0,66 |
30/06/2011 |
| Dynamic Allocation Fund |
Euro A Acc |
2,22 |
30/09/2011 |
| Dynamic Allocation Fund |
Euro C Acc |
1,10 |
30/09/2011 |
| Episode Macro Fund |
USD S Acc |
2,16 |
30/06/2011 |
| Episode Macro Fund |
USD T Acc |
1,91 |
30/06/2011 |
| Episode Macro Fund |
Euro S-H Acc |
2,27 |
30/06/2011 |
| Episode Macro Fund |
Euro T-H Acc |
1,97 |
30/06/2011 |
| European Corporate Bond Fund |
Euro A Acc |
1,16 |
30/06/2011 |
| European Corporate Bond Fund |
Euro C Acc |
0,66 |
30/06/2011 |
| European Fund |
Euro A Acc |
1,71 |
31/08/2011 |
| European Fund |
Euro C Acc |
0,89 |
31/08/2011 |
| European High Yield Bond Fund |
Euro A Acc |
1,45 |
30/06/2011 |
| European High Yield Bond Fund |
Euro C Acc |
0,95 |
30/06/2011 |
| European Index Tracker |
Euro A Acc |
0,71 |
31/08/2011 |
| European Inflation Linked Corporate Bond Fund |
Euro A Acc |
1,23 |
30/09/2011 |
| European Inflation Linked Corporate Bond Fund |
Euro C Acc |
0,74 |
30/09/2011 |
| European Smaller Companies Fund |
Euro A Acc |
1,70 |
31/08/2011 |
| European Smaller Companies Fund |
Euro C Acc |
0,91 |
31/08/2011 |
| European Strategic Value Fund |
Euro A Acc |
2,00 |
31/07/2011 |
| European Strategic Value Fund |
Euro C Acc |
0,93 |
31/07/2011 |
| Global Basics Fund |
Euro A Acc |
1,93 |
31/08/2011 |
| Global Basics Fund |
Euro C Acc |
0,93 |
31/08/2011 |
| Global Basics Fund |
USD A Acc |
1,93 |
31/08/2011 |
| Global Basics Fund |
USD C Acc |
0,91 |
31/08/2011 |
| Global Convertibles Fund |
Euro A Acc |
1,66 |
31/07/2011 |
| Global Convertibles Fund |
Euro A-H Acc |
1,73 |
31/07/2011 |
| Global Convertibles Fund |
Euro C Acc |
0,92 |
31/07/2011 |
| Global Convertibles Fund |
Euro C-H Acc |
0,98 |
31/07/2011 |
| Global Dividend Fund |
Euro A Acc |
1,93 |
30/09/2011 |
| Global Dividend Fund |
Euro C Acc |
0,93 |
30/09/2011 |
| Global Dividend Fund |
USD A Acc |
1,93 |
30/09/2011 |
| Global Dividend Fund |
USD C Acc |
0,93 |
30/09/2011 |
| Global Emerging Markets Fund |
Euro A Acc |
2,05 |
31/07/2011 |
| Global Emerging Markets Fund |
Euro C Acc |
1,06 |
31/07/2011 |
| Global Emerging Markets Fund |
USD A Acc |
2,11 |
31/07/2011 |
| Global Emerging Markets Fund |
USD C Acc |
1,05 |
31/07/2011 |
| Global Growth Fund |
Euro A Acc |
1,95 |
31/08/2011 |
| Global Growth Fund |
Euro B Acc |
2,18 |
31/08/2011 |
| Global Growth Fund |
Euro C Acc |
0,95 |
31/08/2011 |
| Global Growth Fund |
USD A Acc |
1,95 |
31/08/2011 |
| Global Growth Fund |
USD C Acc |
0,94 |
31/08/2011 |
| Global Leaders Fund |
Euro A Acc |
1,92 |
31/08/2011 |
| Global Leaders Fund |
Euro C Acc |
0,94 |
31/08/2011 |
| Global Leaders Fund |
USD A Acc |
1,92 |
31/08/2011 |
| Global Leaders Fund |
USD C Acc |
0,93 |
31/08/2011 |
| Global Macro Bond Fund |
USD A Acc |
1,42 |
31/10/2011 |
| High Yield Corporate Bond Fund |
Euro A-H Acc |
1,47 |
30/11/2011 |
| High Yield Corporate Bond Fund |
Euro C-H Acc |
0,96 |
30/11/2011 |
| High Yield Corporate Bond Fund |
USD A-H Acc |
1,49 |
30/11/2011 |
| High Yield Corporate Bond Fund |
USD C-H Acc |
0,96 |
30/11/2011 |
| Japan Fund |
Euro A Acc |
1,77 |
31/08/2011 |
| Japan Fund |
Euro C Acc |
1,01 |
31/08/2011 |
| Japan Smaller Companies Fund |
Euro A Acc |
1,82 |
31/08/2011 |
| Japan Smaller Companies Fund |
Euro C Acc |
1,03 |
31/08/2011 |
| North American Value Fund |
Euro A Acc |
1,67 |
31/08/2011 |
| North American Value Fund |
Euro C Acc |
0,94 |
31/08/2011 |
| North American Value Fund |
USD A Acc |
1,69 |
31/08/2011 |
| North American Value Fund |
USD C Acc |
0,94 |
31/08/2011 |
| Optimal Income Fund |
Euro A-H Acc |
1,47 |
30/09/2011 |
| Optimal Income Fund |
Euro C-H Acc |
0,97 |
30/09/2011 |
| Optimal Income Fund |
USD A-H Acc |
1,50 |
30/09/2011 |
| Optimal Income Fund |
USD C-H Acc |
0,98 |
30/09/2011 |
| Pan European Dividend Fund |
Euro A Acc |
1,79 |
31/07/2011 |
| Pan European Dividend Fund |
Euro C Acc |
1,04 |
31/07/2011 |
| Pan European Fund |
Euro A Acc |
1,68 |
31/08/2011 |
| Pan European Fund |
Euro C Acc |
0,93 |
31/08/2011 |
| Recovery Fund |
Euro A Acc |
1,66 |
30/06/2011 |
| Recovery Fund |
Euro C Acc |
0,91 |
30/06/2011 |
| UK Growth Fund |
Euro A Acc |
1,66 |
30/11/2011 |
| UK Growth Fund |
Euro C Acc |
0,91 |
30/11/2011 |