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AuM Update

10 Oct 2018 07:00

RNS Number : 4859D
Miton Group Plc
10 October 2018
 

MITON GROUP PLC

AuM UPDATE

 

 

Miton Group plc (the 'Company' or 'Group'), the AIM quoted fund management group, today provides a quarterly update of its unaudited statement of Assets under Management ('AuM') for the nine months ended 30 September 2018 (the 'Period').

 

Highlights

 

· 30 September 2018 closing AuM of £4,868 million (30 September 2017: £3,532 million) (+38%)

· Total net inflows of £927 million in the Period (nine months to 30 September 2017: £312 million) (+198%)

· Average AuM for the Period was £4,320 million (nine months to 30 September 2017: £3,252 million) (+33%)

 

Assets under Management

 

Opening

AuM

1 Jan

2018

£m

Q1

net

flows

£m

Q2

net

flows

£m

Q3

net

flows

£m

Nine months

net

flows

£m

Market / investment performance

£m

Closing

AuM

30 Sept

2018

£m

 

Equity funds

2,379

269

266

286

821

130

3,330

Multi-asset funds

839

61

47

23

131

(8)

962

Investment trusts

605

(14)

(13)

2

(25)

(4)

576

 

Total

3,823

316

300

311

927

118

4,868

 

Progress

· Eight consecutive quarters of positive net inflows

· 13 out of 16 funds are first or second quartile performers since manager tenure to 30 September 20181

 

David Barron, Chief Executive Officer of Miton Group plc, commented:

"It is encouraging to report that the Group has continued to see positive net inflows across a wide range of strategies and good long-term performance. The Group achieved the 9th largest net retail sales in the UK in the second quarter of 2018, as noted in the Pridham Report.

After a number of years where markets have risen strongly, several major markets have seen declines in 2018. Despite this background, Miton has achieved strong flows and with our range of genuinely active funds and strong distribution, we are well-placed for an environment where returns on all asset classes may be challenged by the end of quantitative easing and rising interest rates."

 

 

Notes

1 The quartile performance rankings are based on Investment Association sector classifications, with data sourced from FE Analytics in GBP using Class B Shares, net income reinvested, mid to mid basis for OEIC funds and bid to bid for FP Miton Income and MI Miton Cautious Monthly Income funds. Performance for Investment Trusts is calculated on share price, ranked against Association of Investment Companies sector classifications, and is sourced from FE Analytics. All data is as at 30 September 2018.

ENDS

 

For further information, please contact:

 

Miton Group plc

David BarronChief Executive Officer

020 3714 1474

 

MHP Communications

Reg Hoare / Simon Hockridge / Charlie Barker

020 3128 8100

Liberum (Nominated Adviser and Joint Broker)

Neil Patel / Cameron Duncan

020 3100 2000

N+1 Singer (Joint Broker)

Tom Salvesen

020 7496 3000

 

 

www.mitongroup.com / @Miton_AM

 

Notes to Editors:

Miton Group plc (referred to as the 'Company' or 'Group'), is an equity and multi-asset fund management specialist. As at 30 September 2018 the Group managed £4,868 million of assets across eleven OEICs, two unit trusts, three investment trusts and one segregated mandate.

 

 

This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com.
 
END
 
 
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