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TrinityBridge Managed Income Fund X INC

Fund

ISIN GB00B8HFR798 / Valor 19748663

NAV (2026-09-18)
GBP 1.95+0.31%

TrinityBridge Managed Income Fund X INC
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The Close Managed Income Fund aims to generate income and some capital growth by investing primarily in a diverse mix of global equities and fixed interest securities. At least 80% of the portfolio is allocated to shares from companies of all sizes and sectors worldwide, including small and emerging market firms. Additionally, the fund holds a variety of government and corporate bonds, such as investment-grade, high-yield, and emerging market bonds. The fund is actively managed to adjust its asset allocation within a conservative risk framework, keeping equity exposure between 20% and 60% based on market conditions.

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capital growth msci world income

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OTHER SHARE CLASSES OF THIS FUND

TrinityBridge Managed Income Fund X ACC
TrinityBridge Managed Income Fund X ACC TrinityBridge Managed Income Fund X ACC Valor: 19748651
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Annual Return

-50%0%+50%

Risk level

110
0.29%GBP 3.15