How to invest

The information on the following pages provides a summary of the steps your clients need to take and documents they should read if considering investing in a Premier Miton product or service.

Our range of funds and portfolios

We provide a choice of different products and services – Premier Miton funds and Premier portfolios. Your clients can invest through a General Investment Account (GIA) or Individual Savings Account (ISA) provided by Premier Portfolio Managers Limited or Premier Fund Managers Limited. The process for investing in these will differ.

Investing has risks

When investing in a Premier Miton fund or portfolio, investors’ money may be at risk, because the value of investments can go down as well as up. Investors could get back less than they invested when they come to sell their investment. Any income paid out by a fund or portfolio can go up and down too. Please remember that how a fund or portfolio has performed in the past is not a reliable indicator as to how it may perform in the future. The value of an investment might not keep up with any rise in the cost of living.

How to invest in a Premier Miton fund

 

All of our funds are labelled with the ‘Premier Miton’ prefix, such as Premier Miton Monthly Income Fund.

Premier Miton’s funds are provided by Premier Portfolio Managers Limited, which is a subsidiary of Premier Miton Group plc. If your clients invest in a Premier Miton fund, any correspondence that they receive from us about their investment will come from Premier Portfolio Managers Limited, who acts as the manager of the funds and is responsible for ensuring that the funds are managed and administered in line with the relevant regulations.

Where to find information about the costs of investing in a fund

The ongoing charges figure is a measure of what it costs to invest in a fund over a year. This figure is published on each fund’s factsheet and each fund’s Key Investor Information Document. The costs for all our funds are also provided in our Total Costs & Charges guide

Where to find information about a fund’s risk profile

The Key Investor Information Document includes a risk indicator which shows the risk profile of a fund on a scale of 1 (lowest risk) through to 7 (highest risk)

Documents your clients should read before investing in a Premier Miton fund

Key Investor Information Document (KIID). We publish a KIID for every fund. This is a regulatory document and your clients will need to confirm that they have received and read a copy of the KIID for the fund that they are looking to invest into. The KIID is updated annually and sometimes during the year if there have been any significant changes to the costs or risk profile.

ISA terms and conditions.  If your clients are investing into our funds through an Individual Savings Account with Premier Portfolio Managers Limited, they must read the ISA terms and conditions. These are provided with the application form. The ISA terms & conditions provide your clients with information on both the obligations of Premier Portfolio Managers Limited as an ISA manager, and what they need to be aware of when investing in an ISA. This includes the annual ISA allowance, how to transfer a deceased investor’s ISA and what happens if they wish to transfer their ISA to another ISA provider.

Other documents that your clients may find useful

Supplementary Information Document

This document outlines some helpful practical information about your client’s investment account if they invest directly with us, such as what they need to do if they want to switch between funds, top up the amount invested, or make a withdrawal.

Prospectus

Whilst this is a legal document and the language can be quite technical for clients, it provides lots of useful and important detail about investing in a fund and investing with Premier Miton.

Factsheets

Factsheets are available for all the funds we manage, updated monthly, which include the latest performance and charges information.

Costs & charges guide

A useful guide which provides a breakdown of the different fees, what they mean and what they pay for.

Report & accounts

Each year we publish an annual and interim report & accounts for the funds. These include an update from the investment team, explaining how the fund performed over the period and how the fund has been managed.

Assessment of Value report
Our Assessment of value report sets out whether the funds we manage have delivered good value for performance, the services we offer, and the charges applied.

Investing directly with Premier Miton

Your clients can invest directly with us, which means downloading an application form from our website and returning this to us by post using the address provided on the application form.

To invest into a Premier Miton Fund directly with us, your clients will need to select either the Application form (Direct investment (non-ISA)) if investing into a general investment account or the Application and Transfer form (ISA) if investing in a fund through an Individual Savings Account (ISA).

When completing an application form, it is important that your clients have read all the important notes, and completed all the relevant sections. It’s really important that they use the correct form and complete the form fully. If an incorrect form is used, the form has not been completed correctly or if the form has been sent to the incorrect address, there will be a delay to their investment application.

Completed forms should be send this to us at the following address:

Premier Portfolio Managers Limited, Sunderland, SR43 4AW

Investing through an online platform

If your clients invest through a platform, they will receive any correspondence about their Premier Miton investment from the platform provider rather than from us. The platform may apply different costs and charges and will have their own terms and conditions which your clients will need to be made aware of.

Any questions?

If you’re unsure what form your clients need to use or if you have a query about their account, you can get in touch by calling us on 0333 456 6363 email us at [email protected] or speak to your usual Premier Miton representative.

How to invest in a Premier portfolio

What is a Premier portfolio?

As well as a range of funds, we also offer the Premier Portfolio Management Service. This service offers a choice of different investment portfolios with different objectives and risk profiles. Each portfolio invests in a blend of different Premier Miton funds. The portfolios are managed by an investment committee who decide on which funds should be included in each portfolio in order to meet its objective and risk profile.

IMPORTANT:

The Premier Portfolio Management Service is an advised service only. This means that it is only available to investors who are advised by and use the ongoing services of an authorised financial adviser.

The Premier Portfolio Management Service is provided by Premier Fund Managers Limited, which is a subsidiary of Premier Miton Group plc. If your clients invest in a Premier portfolio, any correspondence that they receive from us about their investment, will come from Premier Fund Managers Limited.

Investing in a portfolio with us directly

If your clients invest directly with us, rather than via a platform, you will need to download the appropriate application form from our website, complete this with your client, and then return it by e-mail or by  post to us. We can accept a signed application form (not electronic signature) from you providing we have your e-mail address registered with or known to us.

The Premier Portfolio Management Service ISA Application and Transfer form should be used for any investments into a portfolio through an ISA. If your clients wish to invest into a GIA, the PPMS – Direct Investment application form is required.

When completing an application form, ensure that your clients have read all the important notes, and completed all the relevant sections. It’s really important that they use the correct form and complete the form fully. If an incorrect form is used, the form has not been completed correctly or if the form has been sent to the incorrect address, there will be a delay to their application.

Other important notes:

  • Confirmation of the account details to forward monies to will be provided in the Welcome Letter that we send to your clients. Your clients should not send monies to us until they have received their account number and instructions
  • If applying on behalf of a Trust, a copy of the Trust Deed, the extract from the Trust Register and a signatory list (if applicable) should be included with the application
  • If applying for a Corporate / Organisational account, a copy of the relevant Certificates of Incorporation should be included with the application
  • For any accounts that are not in the name of an individual, we will require a signatory list or similar evidence of the person(s) with authority to operate the account
  • Remember to enclose any bank account verification and anti-money laundering documentation for each individual and / or trustee name on the application form or included in the signatory lists. Details of the requirements can be found in our Anti-Money Laundering Guides

Completed forms should be sent to us at the following address:

Premier Fund Managers Limited,
Eastgate Court, High Street, Guildford, Surrey, GU1 3DE

Documents your clients should read before investing in a Premier portfolio

The Premier Portfolio Management Service Terms & Conditions is a legal document. When your clients complete an application form, they need to confirm that they have received and read this.

Your clients will need to confirm that they have read a copy of the ISA terms (which form part of the Premier Portfolio Management Service Terms & Conditions) when completing an ISA application form.

The Premier Portfolio Management Service investor guide provides an overview of the different portfolios that your clients can choose to invest in.

Visit our Literature section for the latest copies of these documents

Other documents your clients may find useful:

Factsheets

The portfolio factsheets provide information about how a portfolio has performed over different time periods, how and where it is invested, and the latest charges information.

Assessment of Value report

To help your clients assess whether a portfolio has provided value, our Assessment of value report sets out whether the portfolios we manage have delivered good value for performance, the services we offer, and the charges applied and if we believe the portfolios are likely to provide value for a reasonably foreseeable period.

How to get in touch if you have any questions

If you, or your clients, are unsure what form to use or have a query about their account, they can get in touch by calling us on 0333 345 1122 or email [email protected]

Funds

Please send your completed forms to
Premier Portfolio Managers Limited, Sunderland, SR43 4AW

This address should NOT be used for investments being made through Connect (our online investment portal) or for investments in the Premier Portfolio Management Service. If you are unsure which application form to use and where to send your completed form, please contact us on 0333 456 1122. Applications made using incorrect forms or sent to an incorrect address may be rejected.

For investments in a Premier Miton Fund

If you have any questions about investing in a Premier Miton fund, please contact us:

Premier Portfolio Management Service

The process below does not apply to investments that are made through Connect – Premier Miton’s online investment portal. If you are unsure which application form to use and where to send your completed form, please contact us on 0333 456 1122. Applications made using incorrect forms or sent to an incorrect address will be rejected.

To invest in the Premier Portfolio Management Service, investors should:

This service is only available to investors who use the ongoing services of a financial adviser. Applications can not be accepted by investors who do not have a financial adviser.

If you have any questions about investment in our Premier Portfolio Management Service, please contact us:

Investment Trusts

To invest in the Investment trusts we manage:

We do not offer a dealing service or regular savings plan for the Investment trusts we manage. However, the Ordinary and Zero Dividend Preference shares can be purchased through a stockbroker or a bank in the same way as you would for any company. Our investment trusts are also available on selected platforms.

For investment into one of our investment trusts, please contact your broker.

Before investing you should read the applicable PRIIPs Key Information Document (KID), AIFMD Disclosure Document and Prospectus as they contain important information regarding the funds including charges, tax and fund specific risk warnings.
Details of platforms the investment trusts are available on are listed on each investment trust overview page which can be accessed below:

Risk and other important information

When you invest, your money is at risk because the value of investments, and any income from them, can go down as well as up and you could get back less than you invested. The past performance of an investment is not a guide to how it will perform in the future. Because there are many different types of investment risk and investors have different attitudes to risk, we are not able to categorise our investments as having a specific level of risk. We would therefore strongly recommend that if you do not have professional experience in matters relating to investments, you should speak with a financial adviser before making an investment decision.

Premier Miton Investors is not authorised to provide investment advice or tax advice. Before making an investment decision, it is also important that you read the key documentation for that investment which is available in the literature section of the website, by contacting a financial adviser or by getting in touch with us directly. See ‘Contact us’ for more information or if you are unsure. You can find more details about the specific risks and literature that are relevant to each type of investment on the individual fund, portfolio or investment trust website pages.

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Disclaimer:

This section of the website and the content it contains is for retail clients only and by persons who are resident in the United Kingdom [who are not US persons]. Professional advisers should refer to the Professional Advisers site.

The content of the pages of this website is for your general information only. It, and the products and services described within it, are subject to change without notice. We shall not be liable to you, or any third party, for any amendment, modification, suspension or discontinuance of any product or service described on our website. Neither we, nor any third parties, provide any warranty or guarantee as to the accuracy, timeliness, performance, completeness or appropriateness of the information and materials made available on this website.

You acknowledge that such information may contain inaccuracies or errors and we expressly exclude liability for any such inaccuracies or errors to the fullest extent permitted by law. Your use of any information or materials is entirely at your own risk, for which we shall not be liable.

The information contained on this website does not constitute an offer or solicitation to sell or purchase shares in the funds or portfolios or to provide you with other products or services. Any application or investment must only be made on the basis of the relevant documentation of the investment, such as, for example, terms and conditions. The information on this website does not constitute any investment, tax, legal or other advice. Persons who do not have professional experience in matters relating to investments should always consult with an independent financial adviser before making an investment decision. Any opinion expressed on individual funds, services or products represent the views of the individual at the time of preparation and should not be interpreted as a personal recommendation to buy or sell or otherwise trade all or any of the investments that may be referred to.

Website terms of use: Please ensure you have read and accept the full 'website terms of use' before continuing.

Read the full 'website terms of use' >

This section of the website and the content it contains is for professional financial advisers only and should not be relied upon, or circulated to, retail clients. Retail clients should refer to the Individual Investor's site.

The content of the pages of this website is for your general information and use only. It, and the products and services described within it, are subject to change without notice. We shall not be liable to you, or any third party, for any amendment, modification, suspension or discontinuance of any product or service described on our website. Neither we, nor any third parties, provide any warranty or guarantee as to the accuracy, timeliness, performance, completeness or appropriateness of the information and materials made available on this website.

You acknowledge that such information may contain inaccuracies or errors and we expressly exclude liability for any such inaccuracies or errors to the fullest extent permitted by law. Your use of any information or materials is entirely at your own risk, for which we shall not be liable.

The information contained on this website does not constitute an offer or solicitation to sell shares in the funds or portfolio or to provide you with other products or services. Any application or investment must only be made on the basis of the relevant documentation of the investment, such as, for example, terms and conditions. The information on this website does not constitute any investment, tax, legal or other advice. Persons who do not have professional experience in matters relating to investments should always consult with an independent financial adviser before making an investment decision. Any opinion expressed on individual funds, services or products, represent the views of the individual at the time of preparation and should not be interpreted as a personal recommendation to buy or sell or otherwise trade all or any of the investments that may be referred to.

Website terms of use: Please ensure you have read and accept the full 'website terms of use' before continuing.

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The information in this site is solely for the purpose of acquiring information as, or for, an Institutional Investor (a corporate or other non-retail investment professional acting for their own account). This information must not be used or relied upon by anyone that may be considered a “retail investor” by the home regulator of the country from which this site is accessed.

The information contained in this website is directed at persons who are resident in the United Kingdom and complies with appropriate UK legislation and regulations and is not directed at, nor intended for distribution to, or use by, persons in any jurisdiction in which the dissemination of such investment related information is not permitted.

The information or opinions contained herein should not be construed as an offer, or solicitation to deal in any investment or fund nor shall any such investment products or services be offered or sold to any person in any jurisdiction in which such offer, solicitation, purchase or sale would be unlawful or in which the person making the offer solicitation is not qualified to do so or to anyone to whom it is unlawful to make such offer or solicitation.

Premier Miton Investors has expressed its own views and opinions on this website, and these may change and there is no obligation to update them. Nothing in this website should be construed as investment, tax, legal or other advice. The information contained herein is subject to change without notice.

Neither Premier Miton Investors nor any of its group companies or affiliates accepts any liability for any losses arising directly or indirectly from any information accessed from this website, to the fullest extent permitted by law.

By clicking accept you acknowledge that your use of this website is subject to our privacy policy, cookie policy and our general legal and compliance information available on our website.

THE UNITED STATES OF AMERICA:The investment products referred to on this website have not been and will not be registered under the United States Securities Act of 1933, as amended. They may not be offered or sold in the United States of America, its territories and possessions, any State of the United States of America or the District of Columbia or offered, sold or transferred to US Persons (as defined below). The investment products referred to on this website have not been and will not be registered under the United States Investment Company Act of 1940, as amended. Premier Portfolio Managers Limited has not been and will not be registered under the United States Investment Advisers Act of 1940.

“US Person” generally includes the following: (a) any natural person resident in the United States; (b) a partnership or corporation organised or incorporated under the laws of the United States; (c) any estate of which any executor, or administrator, is a US Person; (d) any trust of which any trustee is a US Person; (e) any agency or branch of a non-US entity located in the United States; (f) any non-discretionary account or similar account (other than an estate or trust) for the benefit or account of a US Person; (g) any discretionary account or similar account (other than an estate or trust) held by a dealer or other fiduciary organised, incorporated or (if an individual) resident in the United States; and (h) any partnership or corporation if: i. organised or incorporated under the laws of any non-US jurisdiction; ii. formed by a US Person principally for the purpose of investing in securities not registered under the 1933 Act. In addition, a Shareholder must qualify as a “Non-United States Person” as used in the US Commodity Futures Trading Commission (“CFTC”) Rule 4.7.

Investment products referred to on this website may not be sold or transferred to a US citizen, or an entity taxed as such or required to file a tax return as such under the United States federal income tax laws (a “US Tax Resident”).

The information in this site is solely for the purpose of acquiring information as, or for, an Institutional Investor (a corporate or other non-retail investment professional acting for their own account). This information must not be used or relied upon by anyone that may be considered a “retail investor” by the home regulator of the country from which this site is accessed.  

The information contained in this website is directed at persons who are resident in the United Kingdom and complies with appropriate UK legislation and regulations and is not directed at, nor intended for distribution to, or use by, persons in any jurisdiction in which the dissemination of such investment related information is not permitted.

The information or opinions contained herein should not be construed as an offer, or solicitation to deal in any investment or fund nor shall any such investment products or services be offered or sold to any person in any jurisdiction in which such offer, solicitation, purchase or sale would be unlawful or in which the person making the offer solicitation is not qualified to do so or to anyone to whom it is unlawful to make such offer or solicitation.

Premier Miton Investors has expressed its own views and opinions on this website, and these may change and there is no obligation to update them. Nothing in this website should be construed as investment, tax, legal or other advice. The information contained herein is subject to change without notice.

Neither Premier Miton Investors nor any of its group companies or affiliates accepts any liability for any losses arising directly or indirectly from any information accessed from this website, to the fullest extent permitted by law.

By clicking accept you acknowledge that your use of this website is subject to our privacy policy, cookie policy and our general legal and compliance information available on our website.

THE UNITED STATES OF AMERICA: The investment products referred to on this website have not been and will not be registered under the United States Securities Act of 1933, as amended. They may not be offered or sold in the United States of America, its territories and possessions, any State of the United States of America or the District of Columbia or offered, sold or transferred to US Persons (as defined below). The investment products referred to on this website have not been and will not be registered under the United States Investment Company Act of 1940, as amended. Premier Portfolio Managers Limited has not been and will not be registered under the United States Investment Advisers Act of 1940.

 “US Person” generally includes the following: (a) any natural person resident in the United States; (b) a partnership or corporation organised or incorporated under the laws of the United States; (c) any estate of which any executor, or administrator, is a US Person; (d) any trust of which any trustee is a US Person; (e) any agency or branch of a non-US entity located in the United States; (f) any non-discretionary account or similar account (other than an estate or trust) for the benefit or account of a US Person; (g) any discretionary account or similar account (other than an estate or trust) held by a dealer or other fiduciary organised, incorporated or (if an individual) resident in the United States; and (h) any partnership or corporation if: i. organised or incorporated under the laws of any non-US jurisdiction; ii. formed by a US Person principally for the purpose of investing in securities not registered under the 1933 Act. In addition, a Shareholder must qualify as a “Non-United States Person” as used in the US Commodity Futures Trading Commission (“CFTC”) Rule 4.7.

 Investment products referred to on this website may not be sold or transferred to a US citizen, or an entity taxed as such or required to file a tax return as such under the United States federal income tax laws (a “US Tax Resident”). If those investment products are held by a US Person, a US Tax Resident or a person who does not qualify as a “Non-United States Person” within the meaning of CFTC Rule 4.7, Premier Portfolio Managers Limited shall be entitled to redeem such Shareholder’s entire holdings.

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Disclaimer:

This section of the website and the content it contains is for retail clients only and by persons who are resident in the United Kingdom [who are not US persons]. Professional advisers should refer to the Professional Advisers site.

The content of the pages of this website is for your general information only. It, and the products and services described within it, are subject to change without notice. We shall not be liable to you, or any third party, for any amendment, modification, suspension or discontinuance of any product or service described on our website. Neither we, nor any third parties, provide any warranty or guarantee as to the accuracy, timeliness, performance, completeness or appropriateness of the information and materials made available on this website.

You acknowledge that such information may contain inaccuracies or errors and we expressly exclude liability for any such inaccuracies or errors to the fullest extent permitted by law. Your use of any information or materials is entirely at your own risk, for which we shall not be liable.

The information contained on this website does not constitute an offer or solicitation to sell or purchase shares in the funds or portfolios or to provide you with other products or services. Any application or investment must only be made on the basis of the relevant documentation of the investment, such as, for example, terms and conditions. The information on this website does not constitute any investment, tax, legal or other advice. Persons who do not have professional experience in matters relating to investments should always consult with an independent financial adviser before making an investment decision. Any opinion expressed on individual funds, services or products represent the views of the individual at the time of preparation and should not be interpreted as a personal recommendation to buy or sell or otherwise trade all or any of the investments that may be referred to.

Website terms of use: Please ensure you have read and accept the full 'website terms of use' before continuing.

Read the full 'website terms of use' >

This section of the website and the content it contains is for professional financial advisers only and should not be relied upon, or circulated to, retail clients. Retail clients should refer to the Individual Investor's site.

The content of the pages of this website is for your general information and use only. It, and the products and services described within it, are subject to change without notice. We shall not be liable to you, or any third party, for any amendment, modification, suspension or discontinuance of any product or service described on our website. Neither we, nor any third parties, provide any warranty or guarantee as to the accuracy, timeliness, performance, completeness or appropriateness of the information and materials made available on this website.

You acknowledge that such information may contain inaccuracies or errors and we expressly exclude liability for any such inaccuracies or errors to the fullest extent permitted by law. Your use of any information or materials is entirely at your own risk, for which we shall not be liable.

The information contained on this website does not constitute an offer or solicitation to sell shares in the funds or portfolio or to provide you with other products or services. Any application or investment must only be made on the basis of the relevant documentation of the investment, such as, for example, terms and conditions. The information on this website does not constitute any investment, tax, legal or other advice. Persons who do not have professional experience in matters relating to investments should always consult with an independent financial adviser before making an investment decision. Any opinion expressed on individual funds, services or products, represent the views of the individual at the time of preparation and should not be interpreted as a personal recommendation to buy or sell or otherwise trade all or any of the investments that may be referred to.

Website terms of use: Please ensure you have read and accept the full 'website terms of use' before continuing.

Read the full 'website terms of use' >

The information in this site is solely for the purpose of acquiring information as, or for, an Institutional Investor (a corporate or other non-retail investment professional acting for their own account). This information must not be used or relied upon by anyone that may be considered a “retail investor” by the home regulator of the country from which this site is accessed.

The information contained in this website is directed at persons who are resident in the United Kingdom and complies with appropriate UK legislation and regulations and is not directed at, nor intended for distribution to, or use by, persons in any jurisdiction in which the dissemination of such investment related information is not permitted.

The information or opinions contained herein should not be construed as an offer, or solicitation to deal in any investment or fund nor shall any such investment products or services be offered or sold to any person in any jurisdiction in which such offer, solicitation, purchase or sale would be unlawful or in which the person making the offer solicitation is not qualified to do so or to anyone to whom it is unlawful to make such offer or solicitation.

Premier Miton Investors has expressed its own views and opinions on this website, and these may change and there is no obligation to update them. Nothing in this website should be construed as investment, tax, legal or other advice. The information contained herein is subject to change without notice.

Neither Premier Miton Investors nor any of its group companies or affiliates accepts any liability for any losses arising directly or indirectly from any information accessed from this website, to the fullest extent permitted by law.

By clicking accept you acknowledge that your use of this website is subject to our privacy policy, cookie policy and our general legal and compliance information available on our website.

THE UNITED STATES OF AMERICA:The investment products referred to on this website have not been and will not be registered under the United States Securities Act of 1933, as amended. They may not be offered or sold in the United States of America, its territories and possessions, any State of the United States of America or the District of Columbia or offered, sold or transferred to US Persons (as defined below). The investment products referred to on this website have not been and will not be registered under the United States Investment Company Act of 1940, as amended. Premier Portfolio Managers Limited has not been and will not be registered under the United States Investment Advisers Act of 1940.

“US Person” generally includes the following: (a) any natural person resident in the United States; (b) a partnership or corporation organised or incorporated under the laws of the United States; (c) any estate of which any executor, or administrator, is a US Person; (d) any trust of which any trustee is a US Person; (e) any agency or branch of a non-US entity located in the United States; (f) any non-discretionary account or similar account (other than an estate or trust) for the benefit or account of a US Person; (g) any discretionary account or similar account (other than an estate or trust) held by a dealer or other fiduciary organised, incorporated or (if an individual) resident in the United States; and (h) any partnership or corporation if: i. organised or incorporated under the laws of any non-US jurisdiction; ii. formed by a US Person principally for the purpose of investing in securities not registered under the 1933 Act. In addition, a Shareholder must qualify as a “Non-United States Person” as used in the US Commodity Futures Trading Commission (“CFTC”) Rule 4.7.

Investment products referred to on this website may not be sold or transferred to a US citizen, or an entity taxed as such or required to file a tax return as such under the United States federal income tax laws (a “US Tax Resident”).

The information in this site is solely for the purpose of acquiring information as, or for, an Institutional Investor (a corporate or other non-retail investment professional acting for their own account). This information must not be used or relied upon by anyone that may be considered a “retail investor” by the home regulator of the country from which this site is accessed.  

The information contained in this website is directed at persons who are resident in the United Kingdom and complies with appropriate UK legislation and regulations and is not directed at, nor intended for distribution to, or use by, persons in any jurisdiction in which the dissemination of such investment related information is not permitted.

The information or opinions contained herein should not be construed as an offer, or solicitation to deal in any investment or fund nor shall any such investment products or services be offered or sold to any person in any jurisdiction in which such offer, solicitation, purchase or sale would be unlawful or in which the person making the offer solicitation is not qualified to do so or to anyone to whom it is unlawful to make such offer or solicitation.

Premier Miton Investors has expressed its own views and opinions on this website, and these may change and there is no obligation to update them. Nothing in this website should be construed as investment, tax, legal or other advice. The information contained herein is subject to change without notice.

Neither Premier Miton Investors nor any of its group companies or affiliates accepts any liability for any losses arising directly or indirectly from any information accessed from this website, to the fullest extent permitted by law.

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THE UNITED STATES OF AMERICA: The investment products referred to on this website have not been and will not be registered under the United States Securities Act of 1933, as amended. They may not be offered or sold in the United States of America, its territories and possessions, any State of the United States of America or the District of Columbia or offered, sold or transferred to US Persons (as defined below). The investment products referred to on this website have not been and will not be registered under the United States Investment Company Act of 1940, as amended. Premier Portfolio Managers Limited has not been and will not be registered under the United States Investment Advisers Act of 1940.

 “US Person” generally includes the following: (a) any natural person resident in the United States; (b) a partnership or corporation organised or incorporated under the laws of the United States; (c) any estate of which any executor, or administrator, is a US Person; (d) any trust of which any trustee is a US Person; (e) any agency or branch of a non-US entity located in the United States; (f) any non-discretionary account or similar account (other than an estate or trust) for the benefit or account of a US Person; (g) any discretionary account or similar account (other than an estate or trust) held by a dealer or other fiduciary organised, incorporated or (if an individual) resident in the United States; and (h) any partnership or corporation if: i. organised or incorporated under the laws of any non-US jurisdiction; ii. formed by a US Person principally for the purpose of investing in securities not registered under the 1933 Act. In addition, a Shareholder must qualify as a “Non-United States Person” as used in the US Commodity Futures Trading Commission (“CFTC”) Rule 4.7.

 Investment products referred to on this website may not be sold or transferred to a US citizen, or an entity taxed as such or required to file a tax return as such under the United States federal income tax laws (a “US Tax Resident”). If those investment products are held by a US Person, a US Tax Resident or a person who does not qualify as a “Non-United States Person” within the meaning of CFTC Rule 4.7, Premier Portfolio Managers Limited shall be entitled to redeem such Shareholder’s entire holdings.