Latest Information

23.07.08 - Latest NAV performance

14.07.08 - Bedlam Funds Interim R&A 2008

11.07.08 - June Fund Fact Sheets

11.07.08 - Investment Bulletin

02.07.08 - Pick of the Week

 

Fund Prices (23 Jul 2008)

Fund
UK
Global
Emerging
Japan
Europe
200
A Share
£123.55
£183.07
£197.73
£  79.14
£139.63
£  79.99
B Share
£121.57
£180.74
£196.33
£ 75.03
£140.28
£108.86
Funds under Management - £215.6 million

Unlike most fund management companies, Bedlam is structured to make investors money

Bedlam is structured to make investors money

      Pick of the Week

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GENERAL

It is the responsibility of all persons accessing this website to observe all applicable laws and regulations of any applicable jurisdiction. Shares in Bedlam Funds plc (the "Fund") may only be sold pursuant to the terms from time to time set out in the Prospectus issued by the Fund. Past performance is not necessarily a guide to future performance. The value of an investment and the income from it can go up as well as down, it may be affected by exchange rate variations, and you may not get back the amount invested. For staff training, and other internal reasons, we may record or randomly monitor all telephone calls.

You agree to use this website in accordance with all applicable laws and regulations, and to keep confidential both information contained within it and any passwords that are required to enter restricted parts of the website.

INFORMATION

The information available on this website:

  • has not been authorised by the issuer of any securities (other than the Fund in relation to the Prospectus and the application forms in respect thereof) and therefore no such information may be relied on by any person acquiring, or subscribing for, any such securities.
  • does not and is not intended to constitute a solicitation of interest in respect of the acquisition of any shares or securities (other than the Fund in relation to the Prospectus and the application forms in respect thereof), or the provision of investment management, advisory or other services to any person in any jurisdiction in which such solicitation is not authorised or to any person to whom it would be unlawful to make such a solicitation.
  • has been compiled with considerable care to ensure its accuracy at the date of publication: but no representation or warranty, express or implied, is made to its accuracy or completeness.
  • is provided for information only and does not in any way constitute investment advice.
  • is not to be distributed to third parties unless expressly agreed to in writing by Bedlam Asset Management plc.

If you are in any doubt about any of the information on this website, please consult your financial or other professional adviser.

UNITED STATES

The Fund has not been registered under the United States Securities Act of 1933, as amended, and may not be offered or sold in the United States unless permitted pursuant to an exemption.

UNITED KINGDOM

Bedlam Asset Management plc is regulated by the Financial Services Authority (FSA) of the United Kingdom. If you would like further information on the FSA you can access their website here www.fsa.gov.uk 

This website has been issued and approved by Bedlam. The Central Bank of Ireland has approved the Fund as UCITS compliant, and the Fund has been "recognised" in the United Kingdom by the FSA pursuant to section 264 of the Financial Services and Markets Act 2000.

Copyright (c) 2005 Bedlam Asset Management PLC

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