We are making some important changes with respect to those of our funds that have dual (offer and bid) prices; namely a switch to ‘swinging’ single pricing.

The changes will be implemented with effect from 21 January 2019, this will not impact the ongoing authorisation of the funds.
Please note that no action is required in response to this notice. If you have any queries regarding the changes, please email us or contact us on 020 7399 0399 between 9.00 am and 5.00 pm.
1. Background
We have considered the way in which we deal with pricing in respect of the funds and have concluded that it would benefit the funds and unitholders to make some amendments to the pricing policy of the funds. This note sets out an explanation of the changes we are making and which funds are affected.
From the 21 January 2019, the units in the funds will be single priced which means a single price is issued for the fund at each valuation point. Both sales and redemptions in units will be based on this single price.
We intend to operate a ‘swinging’ single pricing mechanism for each fund. This mechanism is intended to ensure the fair treatment of all the investors in a fund by minimising the effects of ‘dilution’. The price will swing in response to particular circumstances to mitigate the effects of dilution.
Once the single price of a unit has been determined, a ‘dilution adjustment’ will be applied to the price in accordance with the policy outlined in the Prospectus for that fund. For example, when there are net inflows to a fund, a dilution adjustment increases the price (price swings up) and when there are net outflows from a fund, the dilution adjustment reduces the price (price swings down). However, regardless of whether the price is adjusted up or down, all investors buy and sell at the same price.
Copies of the Prospectus for each fund (containing details of the changes) will be made available upon request, from 21 January 2019. The funds affected and their codes are listed below.
As a guide the current dilution adjustment rates are as included below. These rates are likely to be amended before the pricing basis is changed on 21 January 2019 as the data they are based on will have been updated. Updated rates will be included in the fund Prospectus at the above date
Fund
For purchases
For redemptions
Rathbone Ethical Bond Fund
[0.403%]
[0.403%]
Rathbone Global Opportunities Fund
[0.155%]
[0.105%]
Rathbone Income Fund
[0.531%]
[0.063%]
Rathbone UK Opportunities Fund
[0.388%]
[0.072%]
Rathbone Strategic Bond Fund
[0.246%]
[0.246%]
Rathbone Heritage Fund
[0.214%]
[0.062%]
Rathbone Active Income and Growth Fund
[0.048%] [0.037%]
2. Affected funds, shareclasses and their codes
(R-class)
SEDOL
ISIN
Rathbone Ethical Bond (Accumulation units)
3095713
GB0030957137
Rathbone Ethical Bond (Income units)
3095702
GB0030957020
Rathbone Global Opportunities (Accumulation units)
3034909
GB0030349095
Rathbone Income (Accumulation units)
B06ZVC7
GB00B06ZVC73
Rathbone Income (Income units)
0122904
GB0001229045
Rathbone UK Opportunities (Accumulation units)
3043080
GB0030430804
Rathbone UK Opportunities (Income units)
0506229
GB0005062293
(I-class)
Rathbone Ethical Bond (Accumulation units)
B77DQT1
GB00B77DQT14
Rathbone Ethical Bond (Income units)
B7FQJT3
GB00B7FQJT36
Rathbone Global Opportunities (Accumulation units)
B7FQLN1
GB00B7FQLN12
Rathbone Income (Accumulation units)
B3Q9WG1
GB00B3Q9WG18
Rathbone Income (Income units)
B7FQLQ4
GB00B7FQLQ43
Rathbone UK Opportunities (Accumulation units)
B7FQM50
GB00B7FQM503
Rathbone UK Opportunities (Income units)
B77H7W3
GB00B77H7W31
Rathbone Strategic Bond (Accumulation units)
B6ZS248
GB00B6ZS2486
Rathbone Strategic Bond (Income units)
B6ZS1L8
GB00B6ZS1L87
Rathbone Heritage (Accumulation units)
B8CJW04
GB00B8CJW049
Rathbone Heritage (Income units)
B6SCP82
GB00B6SCP824
(S-class)
Rathbone Income (Accumulation units)
BHCQVM3
GB00BHCQVM34
Rathbone Income (Income units)
BHCQNL6
GB00BHCQNL68
Rathbone Ethical Bond (Accumulation units)
BDD0RN9
GB00BDD0RN99
Rathbone Ethical Bond (Income units)
BDD0RM8
GB00BDD0RM82
Rathbone Heritage (Accumulation units)
B910LL9
GB00B910LL90
Rathbone Heritage (Income units)
B8W46V8
GB00B8W46V86
Other
Rathbone Active Income and Growth (Accumulation units)
B844VV1 GB00B844VV14Rathbone Active Income and Growth (Income units)
B844SW1 GB00B844SW18Rathbone Core Investment Fund for Charities (Accumulation units)
BZ02MF9 GB00BZ02MF91Rathbone Core Investment Fund for Charities (Income units)
BZ02MC6 GB00BZ02MC60