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Fisher Funds Premium International Fund

23561
=
0.00
-
-
  • Previous Close

    0.00

  • Net Assets

    59.26m

  • Yield

    0.00%

  • Front load

    4.00

  • Expenses

    -

  • Category

    Equity Region World

  • Morningstar Risk

    Average

  • Morningstar Rating ★★
Profile

Name of Issuer

Fisher Funds Management Limited

Fund Style

Open

Fund Manager

Scott Brown

Investment Style

Medium Growth

Portfolio of small to mid cap growth companies in international stock markets. Asset allocation of 90%+ equities with at least 5% cash for liquidity purposes

Purchase Information

Initial Purchase 10,000
Initial Purchase: IRA NA
Initial Purchase: AIP NA

Inception

1/11/2007

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