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Multi-Asset Funds

Ashburton Dollar Asset Management Feeder FundD Class
DomicileJersey
CCYUSD
NAV16.3922 cents
Change %+0.12%
Dealing
Price Date17/09/2026
Ashburton Dollar Asset Management Feeder FundI Class
DomicileJersey
CCYUSD
NAV161.2254 cents
Change %+0.12%
DealingDaily
Price Date17/09/2026
Ashburton Dollar Asset Management Feeder FundR Class
DomicileInternational - Jersey
CCYUSD
NAV47.5578 cents
Change %+0.12%
DealingDaily
Price Date17/09/2026
Ashburton Euro Asset Management Feeder FundD Class
DomicileJersey
CCYEUR
NAV13.1796 cents
Change %+0.11%
DealingDaily
Price Date17/09/2026
Ashburton Euro Asset Management Feeder FundI Class
DomicileJersey
CCYEUR
NAV13.0738 cents
Change %+0.11%
DealingDaily
Price Date17/09/2026
Ashburton Euro Asset Management Feeder FundR Class
DomicileInternational - Jersey
CCYEUR
NAV1.8694 cents
Change %+0.11%
DealingDaily
Price Date17/09/2026
Ashburton Global Balanced Dollar Feeder FundR Class
DomicileJersey
CCYUSD
NAV1.9926 cents
Change %+0.12%
DealingDaily
Price Date17/09/2026
Ashburton Global Balanced Euro Feeder FundR Class
DomicileJersey
CCYEUR
NAV1.4097 cents
Change %+0.11%
DealingDaily
Price Date17/09/2026
Ashburton Global Balanced FundR Class
DomicileLuxembourg
CCYUSD
NAV16.7318 cents
Change %+0.28%
DealingDaily
Price Date17/09/2026
Ashburton Global Balanced Sterling Feeder FundR Class
DomicileJersey
CCYGBP
NAV1.9023 cents
Change %+0.12%
DealingDaily
Price Date17/09/2026
Ashburton Global Growth FundD Class
DomicileInternational - Luxembourg
CCYGBP
NAV19.2751 cents
Change %+0.35%
DealingDaily
Price Date17/09/2026
Ashburton Global Growth FundD Class
DomicileInternational - Luxembourg
CCYUSD
NAV21.2417 cents
Change %+0.35%
DealingDaily
Price Date17/09/2026
Ashburton Global Growth FundI Class
DomicileLuxembourg
CCYGBP
NAV19.7985 cents
Change %+0.27%
DealingDaily
Price Date17/09/2026
Ashburton Global Growth FundI Class
DomicileLuxembourg
CCYUSD
NAV21.8621 cents
Change %+0.35%
DealingDaily
Price Date17/09/2026
Ashburton Global Growth FundR Class
DomicileLuxembourg
CCYGBP
NAV18.0671 cents
Change %+0.35%
DealingDaily
Price Date17/09/2026
Ashburton Global Growth FundR Class
DomicileLuxembourg
CCYUSD
NAV19.9016 cents
Change %+0.35%
DealingDaily
Price Date17/09/2026
Ashburton Global Growth Sterling Feeder FundR Class
DomicileJersey
CCYGBP
NAV2.1107 cents
Change %+0.13%
DealingDaily
Price Date17/09/2026
Ashburton Sterling Asset Management Feeder FundR Class - Accumulating
DomicileInternational - Jersey
CCYGBP
NAV52.4852 cents
Change %+0.12%
DealingDaily
Price Date17/09/2026
Ashburton Sterling Asset Management Feeder FundR Class - Distributing
DomicileInternational - Jersey
CCYGBP
NAV3.4635 cents
Change %+0.12%
DealingDaily
Price Date17/09/2026
Ashburton Sterling Asset Management Feeder Fund AccumulatingD Class - Accumulating
DomicileJersey
CCYGBP
NAV15.1263 cents
Change %+0.12%
DealingDaily
Price Date17/09/2026
Ashburton Sterling Asset Management Feeder Fund AccumulatingI Class - Accumulating
DomicileJersey
CCYGBP
NAV14.8798 cents
Change %+0.12%
DealingDaily
Price Date17/09/2026
Ashburton Sterling Asset Management Feeder Fund DistributingD Class - Distributing
DomicileJersey
CCYGBP
NAV13.6494 cents
Change %+0.12%
DealingDaily
Price Date17/09/2026

Income Funds

Ashburton Money Market Feeder FundR Class
DomicileInternational - Jersey
CCYUSD
NAV1.4775 cents
Change %+0.01%
DealingDaily
Price Date17/09/2026

Pure Equity Funds

Ashburton Global Equity Growth FundD Class
DomicileLuxembourg
CCYUSD
NAV1.8106 cents
Change %+0.81%
DealingDaily
Price Date17/09/2026
Ashburton Global Equity Growth FundI Class
DomicileLuxembourg
CCYUSD
NAV1.8268 cents
Change %+0.81%
DealingDaily
Price Date17/09/2026
Ashburton Global Equity Growth FundR Class
DomicileLuxembourg
CCYUSD
NAV1.7738 cents
Change %+0.80%
DealingDaily
Price Date17/09/2026
Ashburton Global Leaders Equity FundD Class
DomicileInternational - Luxembourg
CCYUSD
NAV2264.9552 cents
Change %+0.38%
DealingDaily
Price Date17/09/2026
Ashburton Global Leaders Equity FundD Class
DomicileInternational - Luxembourg
CCYGBP
NAV1.5996 cents
Change %+0.60%
DealingDaily
Price Date17/09/2026
Ashburton Global Leaders Equity FundI Class
DomicileLuxembourg
CCYUSD
NAV19.2006 cents
Change %+0.38%
DealingDaily
Price Date17/09/2026
Ashburton Global Leaders Equity FundI Class
DomicileLuxembourg
CCYGBP
NAV1.5355 cents
Change %+0.60%
DealingDaily
Price Date17/09/2026
Ashburton Global Leaders Equity FundR Class
DomicileInternational - Luxembourg
CCYGBP
NAV1.5191 cents
Change %+0.60%
DealingDaily
Price Date17/09/2026
Ashburton Global Leaders Equity FundR Class
DomicileInternational - Luxembourg
CCYUSD
NAV18.9417 cents
Change %+0.38%
DealingDaily
Price Date17/09/2026

Disclaimer:

NAV (net asset value) is the price per share calculated at the Fund's valuation point, reflecting the total value of the investments held by the Fund less any liabilities. Please see the fact sheets for fund specific information.

Performance is indicative and approximated using a number of days to calculate the period in question i.e. 30 days represents one month, 365 days represents one year. Please see the fund fact sheets for official performance data produced at month end.

Luxembourg domiciled funds

These UCITS funds are valued at 4.00pm New York time on each business day.

Fee share class

Please note the prices, performance and fund codes are for Retail (‘R’) share class only. If you qualify for, and are considering, a ‘clean fee’ (‘D’) share class, or an institutional (‘I’) share class, please contact your regional Ashburton representative or contact your dedicated financial adviser.

All prices are supplied by Morningstar

Morningstar

Please note the prices, performance and fund codes are for Retail (‘R’) share class only. If you qualify for, and are considering, a ‘clean fee’ (‘D’) share class, or an institutional (‘I’) share class, please contact your regional Ashburton representative or contact your dedicated financial adviser.All ratings have been awarded on an overall basis since launch for funds with more than 3 years’ performance. Copyright © 2017 Morningstar UK Limited. All Rights Reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) may not be copied or distributed; and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information. Past performance is no guarantee of future results.