Our fund range – investing in assets including UK and overseas equities, fixed interest, fund of funds and funds of ETFs.

Click on a fund below to access prices, literature, application forms and further information. The search boxes can be used to filter your request.

We are currently developing our shareholder engagement policy and investment strategy. This will be published on our website, once it has been completed.

Marlborough Bond Income, Marlborough High Yield Fixed Interest and Marlborough Global Bond yields are Distribution Yields. All other yields are Historic Yields. All prices are as at 12:00 noon on the valuation date shown. All funds are priced on a forward basis.

Bob Brown and his team from the DRG Pension Fund set up RC Brown Investment Management in 1990. For almost three decades, the firm specialised in managing portfolios for company pension schemes and major charities. In 2009, we expanded our offering to include private-client business, specifically working with independent financial advisers (IFAs). We’re now one of the fastest-growing discretionary fund management businesses in the UK* and have won the following awards. To visit their website click here
Filter By:
Search By Fund Name:
or SEDOL:
Expand All
MFM UK Primary Opportunities arrow
Name Sedol Nav Yield Valuation Date/Point More Info
MFM UK Primary Opportunities P Inc Sedol: B8HGN52 Nav: 453.27 Yield: 2.36% Valuation Date/Point: 21/01/2020 - 12:00 More Details →
MFM UK Primary Opportunities P Acc Sedol: B905T77 Nav: 529.39 Yield: 2.36% Valuation Date/Point: 21/01/2020 - 12:00 More Details →
MFM UK Primary Opportunities B Inc Sedol: 0960717 Nav: 453.5 Yield: 2.14% Valuation Date/Point: 21/01/2020 - 12:00 More Details →
MFM UK Primary Opportunities B Acc Sedol: 0960739 Nav: 682.15 Yield: 2.14% Valuation Date/Point: 21/01/2020 - 12:00 More Details →
MFM UK Primary Opportunities A Inc Sedol: 0960706 Nav: 451.3 Yield: 1.69% Valuation Date/Point: 21/01/2020 - 12:00 More Details →
MFM UK Primary Opportunities A Acc Sedol: 0960698 Nav: 636.81 Yield: 1.69% Valuation Date/Point: 21/01/2020 - 12:00 More Details →