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Trading Statement

10th Jul 2025 07:00

RNS Number : 4206Q
Liontrust Asset Management PLC
10 July 2025
 

 

LEI: 549300XVXU6S7PLCL855

For immediate release

10 July 2025

Stock Exchange Announcement

LIONTRUST ASSET MANAGEMENT PLC

Trading Update

 

Liontrust Asset Management Plc ("Liontrust" or the "Company"), the specialist independent fund management group, today issues its trading update for the three months ended 30 June 2025 (the "Period").

 

· Net outflows of £1.1 billion in the Period (2024: £0.9 billion).

 

· Assets under management and advice ("AuMA") were £22.6 billion as at 30 June 2025, unchanged over the Period.

 

· AuMA as at 7 July 2025 were £22.6 billion.

 

Commenting, John Ions, Chief Executive Officer, said:

 

"Liontrust has spoken for the last nine months about how investors will need to search wider for alpha going forward and why this means a more positive environment for active management. We have now begun to see investors, led by institutional clients, turn more towards actively managed funds and diversify geographically, with Europe and the UK outperforming the US stock market over the first half of 20251.

 

This comes as Liontrust has delivered stronger long-term performance. As at 30 June 2025, 73% of Liontrust funds were in the first or second quartile of their respective sectors since inception1.

 

Liontrust continues to make progress towards our four strategic objectives, including broadening distribution institutionally and internationally and expanding the fund range."

 

1 Source: Financial Express to 30 June 2025 as at 7 July 2025, fund performance on a bid-bid, total return, net of fees basis, using the primary share class.

 

Assets under management and advice

 

On 30 June 2025 our AuMA stood at £22,618 million and were broken down by type and investment process as follows:

 

Process

Total

Institutional Accounts & Funds

Investment Trusts

UK Retail Funds & MPS

Alternative Funds

International Funds & Accounts

 

(£m)

(£m)

(£m)

(£m)

(£m)

(£m)

Sustainable Investment

8,113

326

-

7,579

-

208

Economic Advantage

3,700

388

-

3,268

-

44

Multi-Asset

3,841

-

-

3,640

71

130

Global Equities

1,086

-

-

1,061

25

-

Global Innovation

864

-

-

858

-

6

Cashflow Solution

3,178

544

-

2,013

261

360

Global Fundamental

1,836

218

1,172

446

-

-

Total

22,618

1,476

1,172

18,865

357

748

 

AuMA as at 7 July 2025 were £22.624 billion

 

Flows

 

The net outflows over the Period were £1,089 million (2024: £923 million). A reconciliation of net flows and AuMA over the Period is as follows:

 

Total

Institutional Accounts & Funds

Investment Trusts

UK Retail Funds & MPS

Alternative Funds

International Funds & Accounts

(£m)

(£m)

(£m)

(£m)

(£m)

(£m)

Opening AuMA - 1 April 2025

22,590

1,416

1,126

19,129

342

577

 

Net flows

(1,089)

(5)

(5)

(1,216)

2

135

 

Market & Investment performance

1,117

65

51

952

13

36

 

 

 

 

 

 

Closing AuMA - 30 June 2025

22,618

1,476

1,172

18,865

357

748

 

Key Fund Performance (Quartile ranking)

 

UK domiciled funds-

 

Quartile ranking - Since inception

Quartile ranking - 5 year

Quartile ranking - 3 year

Quartile ranking - 1 year

Inception Date

Economic Advantage funds

Liontrust Special Situations Fund

1

4

4

4

10/11/2005

Liontrust UK Growth Fund

1

3

4

4

01/04/1996

Liontrust UK Micro Cap Fund

1

2

3

4

09/03/2016

Liontrust UK Smaller Companies Fund

1

3

4

4

08/01/1998

Liontrust Global Smaller Companies Fund

4

4

3

4

31/12/2007

Sustainable Future funds

Liontrust SF Cautious Managed Fund

2

4

4

4

23/07/2014

Liontrust SF Corporate Bond Fund

2

2

2

2

19/02/2001

Liontrust SF Defensive Managed Fund

1

4

4

4

23/07/2014

Liontrust SF European Growth Fund

4

4

4

3

19/02/2001

Liontrust SF Global Growth Fund

3

4

3

3

19/02/2001

Liontrust SF Managed Fund

2

4

2

4

19/02/2001

Liontrust SF Managed Growth Fund

2

3

2

4

19/02/2001

Liontrust SF Monthly Income Bond Fund

1

1

2

2

12/07/2010

Liontrust SF UK Growth Fund

3

4

4

3

19/02/2001

Liontrust UK Ethical Fund

3

4

4

3

01/12/2000

Global Innovation funds

Liontrust Global Dividend Fund

2

2

1

4

20/12/2012

Liontrust Global Innovation Fund

1

2

1

1

31/12/2001

Liontrust Global Technology Fund

2

1

1

2

15/12/2015

Global Equity funds

Liontrust Balanced Fund

1

2

1

3

31/12/1998

Liontrust China Fund

4

3

2

1

31/12/2004

Liontrust Emerging Market Fund

3

3

3

4

30/09/2008

Liontrust Global Alpha Fund

1

4

2

1

31/12/2001

Liontrust India Fund

4

2

3

4

29/12/2006

Liontrust Japan Equity Fund

4

2

3

4

22/06/2015

Liontrust Latin America Fund

2

3

3

1

03/12/2007

Liontrust US Opportunities Fund

2

3

3

4

31/12/2002

Cashflow Solution funds

Liontrust European Dynamic Fund

1

1

1

3

15/11/2006

Global Fundamental funds

Liontrust Income Fund

1

3

2

4

31/12/2002

Edinburgh Investment Trust Plc

1

1

1

3

31/03/2020

Liontrust UK Equity Fund

1

3

1

3

27/03/2003

Liontrust UK Focus Fund

1

3

1

3

29/09/2003

Multi-Asset funds

Liontrust Strategic Bond Fund

3

3

2

2

08/05/2018

Liontrust MA Explorer 35 Fund

1

-

-

2

31/12/2002

Liontrust MA Explorer Income 45 Fund

2

-

-

3

31/03/2020

Liontrust MA Explorer Income 60 Fund

2

-

-

3

27/03/2003

Liontrust MA Explorer 70 Fund

3

-

-

3

29/09/2003

Liontrust MA Explorer 85 Fund

2

-

-

4

29/09/2003

Liontrust MA Explorer 100 Fund

2

-

-

3

29/09/2003

Liontrust MA Monthly High Income Fund

3

2

1

1

01/05/2012

Liontrust MA UK Equity Fund

4

3

3

3

12/11/2001

 

Irish domiciled funds-

 

Quartile ranking - Since inception

Quartile ranking - 5 year

Quartile ranking - 3 year

Quartile ranking - 1 year

Inception Date

Economic Advantage funds

Liontrust GF Special Situations Fund

2

4

4

4

08/11/2012

Liontrust GF UK Growth Fund

1

3

3

4

03/09/2014

Sustainable Future funds

Liontrust GF SF European Corporate Bond Fund

2

2

2

2

29/05/2018

Liontrust GF SF Global Growth Fund

2

4

3

3

12/11/2019

Liontrust GF SF Multi Asset Global Fund

4

-

2

3

13/10/2021

Liontrust GF SF Pan-European Growth Fund

3

4

4

3

14/03/2001

Liontrust GF SF US Growth Fund

3

-

-

3

07/07/2023

Cashflow Solution funds

Liontrust GF European Smaller Companies Fund

1

1

1

2

01/02/2017

Liontrust GF European Strategic Equity Fund

1

1

1

1

25/04/2014

Liontrust GF Pan-European Dynamic Fund

2

-

-

2

27/02/2024

Multi-Asset funds

Liontrust GF Global Short Dated Corporate Bond Fund

3

4

3

4

26/06/2018

Liontrust GF High Yield Fund

1

1

1

1

08/06/2018

Liontrust GF Strategic Bond Fund

1

2

2

3

13/04/2018

 

Source: Financial Express to 30 June 2025 as at 7 July 2025, fund performance on a bid-bid, total return, net of fees basis, using the primary share class.

 

Past performance is not a guide to future performance, investments can result in total loss of capital. The above funds are all UK authorised unit trusts, OEICs, Irish authorised OEICs (primary share class) or UK listed investment trusts. Onshore funds use the Financial Express Investment Association sectors. Offshore funds use the FCA Recognised offshore sectors. Edinburgh Investment Trust Plc uses the AIC Investment Trust UK Equity Income sector.

 

Liontrust Global Smaller Companies Fund moved from the Global Equities team to the Economic Advantage team on 14 January 2025.

 

MA Explorer funds had an objective change on 05/04/2023 and rankings are shown from then.

 

MA Dynamic Passive fund range, MA Blended fund range, Diversified Real Assets Fund and Russia Fund (suspended) are not included as are in an IA sector that is not rankable. GF Global Technology, GF Global Innovation and GF Global Dividend funds are excluded because they were recently launched.

 

 

For further information please contact:

 

Liontrust Asset Management Plc (Tel: 020 7412 1700, Website: liontrust.co.uk)

Stephen Corbett: Head of Investor Relations

Simon Hildrey: Chief Marketing Officer

 

Singer Capital Markets (Tel: 020 7496 3000)

Corporate Broking: Charles Leigh-Pemberton

Corporate Advisory: James Moat

 

Panmure Liberum (Tel: 020 7886 2500)

Corporate Broking: David Watkins

Corporate Advisory: Atholl Tweedie

 

Forward Looking Statements

This announcement contains certain forward-looking statements with respect to the financial condition, results of operations and businesses and plans of Liontrust. These statements and forecasts involve risk and uncertainty because they relate to events and depend upon circumstances that have not yet occurred. There are a number of factors that could cause actual results or developments to differ materially from those expressed or implied by these forward-looking statements and forecasts. As a result, the Liontrust's actual future financial condition, results of operations and business and plans may differ materially from the plans, goals and expectations expressed or implied by these forward-looking statements. Liontrust undertakes no obligation publicly to update or revise forward-looking statements, except as may be required by applicable law and regulation (including the Listing Rules of the Financial Conduct Authority). Nothing in this announcement should be construed as a profit forecast or be relied upon as a guide to future performance.

Other information

The release, publication, transmission or distribution of this announcement in, into or from jurisdictions other than the United Kingdom may be restricted by law and therefore persons in such jurisdictions into which this announcement is released, published, transmitted or distributed should inform themselves about and observe such restrictions. Any failure to comply with the restrictions may constitute a violation of the securities laws of any such jurisdiction.

 

ENDS

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