Offshore reporting funds: F
30 share classes listed under F. Open a fund for its figures.
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All 2,918
Amundi / Lyxor (176)BlackRock (BGF / BGIF / BSF) (820)Invesco (151)iShares (BlackRock ETFs) (885)State Street (SPDR ETFs Europe I / II) (158)VanEck UCITS ETFs (12)Vanguard UK (VF plc / VIS plc) (313)Xtrackers (DWS) (403)
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Funds listed under F
| Fund | ISIN | London ticker | Manager | Periods |
|---|---|---|---|---|
| FinTech Fund Class A2 USD | LU1861217088 | none | BlackRock (BGF / BGIF / BSF) | 52021–2025 |
| FinTech Fund Class A4 USD | LU2360107671 | none | BlackRock (BGF / BGIF / BSF) | 52021–2025 |
| FinTech Fund Class C2 USD | LU2357541775 | none | BlackRock (BGF / BGIF / BSF) | 52021–2025 |
| FinTech Fund Class D2 Hedged GBP | LU1861217914 | none | BlackRock (BGF / BGIF / BSF) | 62020–2025 |
| FinTech Fund Class D2 USD | LU1861217161 | none | BlackRock (BGF / BGIF / BSF) | 62020–2025 |
| FinTech Fund Class I4 USD | LU2360107598 | none | BlackRock (BGF / BGIF / BSF) | 52021–2025 |
| FinTech Fund Class Z2 USD | LU1861217591 | none | BlackRock (BGF / BGIF / BSF) | 62020–2025 |
| Fixed Income Global Opportunities Fund Class A2 Hedged GBP | LU1181257202 | none | BlackRock (BGF / BGIF / BSF) | 62020–2025 |
| Fixed Income Global Opportunities Fund Class A2 USD | LU0278466700 | none | BlackRock (BGF / BGIF / BSF) | 62020–2025 |
| Fixed Income Global Opportunities Fund Class D2 Hedged EUR | LU0278456651 | none | BlackRock (BGF / BGIF / BSF) | 62020–2025 |
| Fixed Income Global Opportunities Fund Class D2 Hedged GBP | LU0278463947 | none | BlackRock (BGF / BGIF / BSF) | 62020–2025 |
| Fixed Income Global Opportunities Fund Class D2 USD | LU0278469043 | none | BlackRock (BGF / BGIF / BSF) | 62020–2025 |
| Fixed Income Global Opportunities Fund Class D4 Hedged CAD | LU1270847186 | none | BlackRock (BGF / BGIF / BSF) | 62020–2025 |
| Fixed Income Global Opportunities Fund Class D4 Hedged GBP | LU1294567364 | none | BlackRock (BGF / BGIF / BSF) | 62020–2025 |
| Fixed Income Global Opportunities Fund Class D5 USD | LU0737136415 | none | BlackRock (BGF / BGIF / BSF) | 62020–2025 |
| Fixed Income Global Opportunities Fund Class I2 USD | LU0986736956 | none | BlackRock (BGF / BGIF / BSF) | 62020–2025 |
| Fixed Income Global Opportunities Fund Class I5 GBP Hedged | LU1877503935 | none | BlackRock (BGF / BGIF / BSF) | 62020–2025 |
| Fixed Income Global Opportunities Fund Class I5 Hedged EUR | LU1129992308 | none | BlackRock (BGF / BGIF / BSF) | 62020–2025 |
| Fixed Income Global Opportunities Fund Class I5 USD | LU1083819141 | none | BlackRock (BGF / BGIF / BSF) | 62020–2025 |
| Fixed Income Global Opportunities Fund Class S2 Hedged CHF | LU1992159902 | none | BlackRock (BGF / BGIF / BSF) | 62020–2025 |
| Fixed Income Global Opportunities Fund Class S2 Hedged EUR | LU1992159654 | none | BlackRock (BGF / BGIF / BSF) | 62020–2025 |
| Fixed Income Global Opportunities Fund Class S2 USD | LU1992160157 | none | BlackRock (BGF / BGIF / BSF) | 62020–2025 |
| Fixed Income Global Opportunities Fund Class S4 Hedged EUR | LU1992161049 | none | BlackRock (BGF / BGIF / BSF) | 62020–2025 |
| Fixed Income Global Opportunities Fund Class S5 USD | LU1992159068 | none | BlackRock (BGF / BGIF / BSF) | 62020–2025 |
| Fixed Income Global Opportunities Fund I2 GBP Hedged | LU0999670564 | none | BlackRock (BGF / BGIF / BSF) | 32023–2025 |
| Future of Transport Fund Class A4 USD | LU2360107325 | none | BlackRock (BGF / BGIF / BSF) | 52021–2025 |
| Future of Transport Fund Class D2 Hedged GBP | LU1861215629 | none | BlackRock (BGF / BGIF / BSF) | 62020–2025 |
| Future of Transport Fund Class D2 USD | LU1861214903 | none | BlackRock (BGF / BGIF / BSF) | 62020–2025 |
| Future of Transport Fund Class I4 USD | LU2360107242 | none | BlackRock (BGF / BGIF / BSF) | 52021–2025 |
| Future of Transport Fund Class Z2 USD | LU1861215207 | none | BlackRock (BGF / BGIF / BSF) | 62020–2025 |
Showing 1–30 of 30.
What to do with a figure once you have it
- You must have held units on the reporting period end to be liable for that period.
- The income arises on the fund distribution date, which is the period end plus six months (SI 2009/3001 reg 94(4)). That date, not the period end, decides which tax year it belongs to.
- The same amount is added to your Section 104 cost. Report the income and forget the uplift and the money is taxed twice.
- Whether it is taxed as a dividend or as interest depends on the fund's assets (ITTOIA 2005 s378A) and is not in this data. The manager's report states it.
- An ERI figure in a foreign currency converts at HMRC's monthly rate for the month it arises. HMRC ask for a reasonable and consistent method (CG78310), and this is the one the site applies to ERI. For your trades: Where your broker gives the sterling amount you actually paid or received, we use it; otherwise we convert at HMRC's monthly rate for the month of each leg.
Work it out from your broker CSV →
How UK Capital Gains Tax on shares works: the matching rules, the Section 104 pool and where offshore funds sit.
