Jupiter European I Acc
- Citicode
- 09QA
- Launch Date
- 19-09-2011
- Fund Size
- £2,296,258,561
- Yield
- 0.66%
- Ongoing Charge
- 0.99%
- Fund Managers
- Chris Legg
Christopher Sellers
Niall Gallagher
Fund Objective
The objective of the Fund is to achieve long-term capital growth. The investment policy is to invest in companies quoted on a European stock exchange.
Top 10 Holdings
Asset Class
Fund Manager
Chris Legg
Start Date
01-02-2025
Bio
Chris Legg, Investment Manager, is a member of the European Equity team, responsible for industrials, autos and resources sector research. Prior to joining GAM Investments in May 2017, he was an analyst at AC Limited (Dubai), PIMCO (London), Nevsky Capital (London) and Credit Suisse (London). He began his career at PriceWaterhouseCoopers where he received the ACA qualification. Chris holds an MSci (Hons) in Mathematics from Bristol University. He is based in London.
Fund Manager
Christopher Sellers
Start Date
01-02-2025
Bio
Christopher Sellers, Investment Manager, is a member of the European Equity team, responsible for TMT, utilities, infrastructure, real estate and diversified financials research. Prior to joining GAM Investments in May 2014, he was a member of Morgan Stanley’s Equity Research department. He began his career there in 2010 as an analyst. Christopher holds a BA in Classics from the University of Oxford. He is based in London.
Fund Manager
Niall Gallagher
Start Date
01-05-2025
Bio
Niall Gallagher, Investment Director, is responsible for the management of European Equity funds. Prior to joining GAM Investments in November 2009, he worked as a portfolio manager managing Continental and pan-European equities at T. Rowe Price for two years. Before that, he was at BlackRock for nine years managing both Continental and pan-European equity strategies. He began his career as an economist at the Bank of England. Niall holds a BA in Economics from Manchester Metropolitan University, an MSc in Economics and Finance from Warwick University, and is a CFA charterholder. He is based in London.
Data source:
All financial data is supplied by FE
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