M&G Fund of Investment Trust \nSharesM&G Fund of Investment Trust \nShares

 xd date 01/01/12 01/07/11 04/01/11 01/07/10
 Pay date 29/02/12 31/08/11 28/02/11 31/08/10
 Payment type Interim Final Interim Final
 Sterling Share Class A (pence) Acc
 Inc
 6.6177 (est)
 2.9780 (est)
 9.0626
 4.0940
 9.0054
 4.0800
 14.1904
 6.4660 
 Sterling Share Class X (pence) Acc
 Inc
 0.0000 (est)
 0.0000 (est)
 1.4084
 0.6620
 2.1897
 1.0300
 7.4771
 3.5280  
 Income Split (all share classes) Franked %
 Unfranked %
 -
 -
 100.00
 0.00
-
-
 100.00 
 0.00
 Corporate Liability Sterling Share Class A Acc Gross Income
 Rate per Share
 0.0000
 0.0000
-
-
 0.0000
 0.0000
 0.0000
 0.0000
 Corporate Liability Sterling Share Class A Inc Gross Income
 Rate per Share
 0.0000
 0.0000
-
-
 0.0000 
 0.0000
 0.0000
 0.0000
 Corporate Liability Sterling Share Class X Acc Gross Income
 Rate per Share
 0.0000
 0.0000
-
-
 0.0000 
 0.0000
 0.0000
 0.0000
 Corporate Liability Sterling Share Class X Inc Gross Income
 Rate per Share
 0.0000
 0.0000
-
-
 0.0000
 0.0000
 0.0000
 0.0000

 

Issued by M&G Securities Limited and M&G Financial Services Limited which are subsidiaries of M&G Limited. M&G Limited is incorporated and registered in England. Registered Office: Laurence Pountney Hill, London, EC4R 0HH. Registered in England No. 1048359. Registered for VAT, number GB235 3237 81. Both M&G Securities Limited and M&G Financial Services Limited are authorised and regulated by the Financial Services Authority and provide ISAs and other investments. M&G Securities Limited is registered on the FSA's register, No. 122057 (www.fsa.gov.uk/register). Registered Office Laurence Pountney Hill, London, EC4R 0HH. Registered in England No. 90776. M&G Financial Services Limited is registered on the FSA's register, No. 122058 (www.fsa.gov.uk/register). Registered Office Laurence Pountney Hill, London, EC4R 0HH. Registered in England No. 923891. Both companies are registered for VAT, number GB235 3237 81.