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Changes to Artemis funds from February 2019  

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With effect from February 2019, Artemis has now made the following changes to how its funds operate:  


-          the way in which fund charges are calculated,  has moved from variable expenses to an administration fee  

-          how the unit trust funds are priced,  has changed from 'bid price' and 'offer price' to a single 'mid price'  

There will be no change to the way in which funds' investments will be managed.      

The funds’ prospectuses have been updated as a result of the changes and you can see the updated prospectuses on our fund literature page.  A full list of share classes and the ISIN codes, can be seen in full at .  

If you have any questions about the changes or require any further information, please contact our Client Services team on 0800 092 2051 between 8.00am and 6.00pm (Monday to Friday).  

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