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GB00BKTWYY84

FTF ClearBridge UK Managers' Focus Fund

As of 13/03/2026

NAV 1

£1.12

 
 

NAV Change 1

£0.00

(-0.09%)
As of 28/02/2026

Morningstar Overall Rating™ 2

UK Flex-Cap Equity

Effective 30 September 2025, the FTF Martin Currie UK Managers’ Focus Fund was renamed FTF ClearBridge UK Managers’ Focus Fund. Effective 30 September 2025, the fund's investment manager changed to "ClearBridge Investment Management Limited" ("CIML").

Overview

ClearBridge Investments logo

Summary of Fund Objective

The Fund aims to increase in value through investment growth by more than the FTSE All-Share Index over periods of five years after all fees and costs are deducted. There is no guarantee that the Fund will achieve this return over this or any other time period. Capital invested is at risk and you may get back less than you paid in.

What Are The Key Risks?

The value of shares in the Fund and income received from it can go down as well as up and investors may not get back the full amount invested. Performance may also be affected by currency fluctuations. Currency fluctuations may affect the value of overseas investments. There is no guarantee that the Fund will meet its objective.

  • The Fund invests mainly in a concentrated portfolio of equity securities of up to 50 small, medium and large UK companies. Such securities have historically been subject to price movements, particularly for the small to medium companies, due to company-specific factors or movements in the UK equity markets generally. As a result, the performance of the Fund can fluctuate significantly over relatively short time periods.
  • Risks materially relevant not adequately captured by the indicator: 
    Concentration risk: the risk that arises when a fund invests in relatively few holdings, few sectors or a restricted geographic area. Performance may be more volatile than a fund with a greater number of securities.
    Single Country/Region Risk: This fund invests primarily in UK, which means that it is more sensitive to local economic, market, political or regulatory events in UK, and will be more affected by these events than other funds that invest in a broader range of regions.
    Equity risk: prices of equities may be affected by factors such as economic, political, market, and issuer-specific changes. Such changes may adversely affect the value of the equities regardless of company-specific performance.
    Investment in smaller company shares: The fund buys shares in smaller companies. It may be difficult to sell these shares, in which case the fund may not be able to minimise a loss on such shares.
    Liquidity risk: the risk that arises when adverse market conditions affect the ability to sell assets when necessary. Such risk may be triggered by (but not limited to) unexpected events such as environmental disasters or pandemics. Reduced liquidity may have a negative impact on the price of the assets.

For a full discussion of all the risks applicable to this Fund, please refer to the “Risk Factors” section of the current prospectus of Franklin Templeton Funds.

Fund Information
Total Net Assets  As of 28/02/2026 (Updated Monthly)
£63.76 Million
Fund Inception Date 
17/10/2011
Share Class Inception Date 
21/02/2020
Inception Date (Performance) 
21/02/2020
Base Currency for Fund 
GBP
Base Currency for Share Class 
GBP
Benchmark 
FTSE All-Share Index
Asset Class 
Equity
Investment Manager 
ClearBridge Investments
Investment Vehicle 
Franklin Templeton Funds
Domicile 
United Kingdom
Dividends & Yields
Distribution Frequency 
Semiannually
Distribution Amount  As of 01/10/2025
£0.015629
Payable Date  As of 01/10/2025
28/11/2025
Distribution Yield3  As of 13/03/2026 (Updated Monthly)
2.66%
Charges
Initial Charge 
N/A
Annual Charge  As of 28/02/2026
0.65%
Ongoing Charges Figure  As of 28/02/2026
0.75%
Identifiers
ISIN Code 
GB00BKTWYY84
Bloomberg Code 
FRUKFWG LN
SEDOL Code 
BKTWYY8
Fund Number 
0907
Citi Code 
QYQ2

Fund Managers

Richard Bullas

Leeds, United Kingdom

Managed Fund Since 2012

Ben Russon, CFA®

Leeds, United Kingdom

Managed Fund Since 2013

Dan Green, CFA®

Leeds, United Kingdom

Managed Fund Since 2020

JR

Joanne Rands

Leeds, United Kingdom

Managed Fund Since 2011

Will Bradwell, CFA®

Leeds, United Kingdom

Managed Fund Since 2024

MT

Marcus Tregoning

Leeds, United Kingdom

Managed Fund Since 2024

Courtney Westcarr, CFA®

Leeds, United Kingdom

Managed Fund Since 2011

Performance

Portfolio

Portfolio Holdings

Holdings

As of 31/01/2026 Updated Monthly
Security Name 
AstraZeneca PLC ORD GBP.25
Weight (%) 
5.30
Market Value 
3,310,206
Quantity 
24,444
Security Name 
HSBC Holdings PLC ORD GBP.5
Weight (%) 
4.99
Market Value 
3,119,722
Quantity 
243,481
Security Name 
Shell PLC ORD GBP0.07
Weight (%) 
4.60
Market Value 
2,871,936
Quantity 
102,817
Security Name 
Barclays PLC ORD GBP.25
Weight (%) 
4.42
Market Value 
2,759,454
Quantity 
565,404
Security Name 
Unilever PLC ORD GBP.0311
Weight (%) 
4.41
Market Value 
2,756,305
Quantity 
56,346
Security Name 
BP PLC ORD GBP.25
Weight (%) 
4.36
Market Value 
2,723,570
Quantity 
593,112
Security Name 
GSK PLC ORD GBP 0.3125
Weight (%) 
4.27
Market Value 
2,668,133
Quantity 
144,126
Security Name 
Rio Tinto PLC ORD GBP.10
Weight (%) 
3.81
Market Value 
2,378,155
Quantity 
35,172
Security Name 
Natwest Group PLC ORD GBP1.0769
Weight (%) 
3.59
Market Value 
2,242,203
Quantity 
337,732
Security Name 
BAE Systems PLC ORD GBP.025
Weight (%) 
3.30
Market Value 
2,059,592
Quantity 
104,204

These securities do not represent all of the securities purchased, sold or recommended for clients, and the reader should not assume that investment in the securities listed was or will be profitable. 

Dividends

Dividends Per Share

Share Class  
W (inc)
Currency  
GBP
Record Date  
30/09/2025
Ex-Distribution Date  
01/10/2025
Payable Date  
28/11/2025
NAV  
£1.06
Distribution Amount  
£0.015629

Pricing

Pricing History Chart

As of 13/03/2026 Updated Daily

Share Prices

As of 13/03/2026
NAV1 (Net Asset Value)
£1.12
NAV Change1 
£0.00
NAV Change (%)1 
-0.09%
Highest / Lowest NAV
As of 13/03/2026 Updated Daily
Year 
Highest NAV
2026  
£1.18 As on 27/02/2026
2025  
£1.10 As on 12/11/2025
2024  
£1.04 As on 30/08/2024
2023  
£0.99 As on 16/02/2023
2022  
£1.09 As on 05/01/2022
2021  
£1.10 As on 03/09/2021
2020  
£1.00 As on 21/02/2020
Year 
Lowest NAV
2026  
£1.10 As on 02/01/2026
2025  
£0.89 As on 09/04/2025
2024  
£0.91 As on 17/01/2024
2023  
£0.81 As on 25/10/2023
2022  
£0.85 As on 13/10/2022
2021  
£0.92 As on 29/01/2021
2020  
£0.63 As on 19/03/2020

Documents

Documents not Available