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Artemis Income (Exclusions) Fund

Select share class
CapabilityUK equities
Fund size£459.4m
Fund launch date16 Mar 2005
Fund typeUnit Trust
Historic yield
3.10%
As at 31 May 2026
Price
290.99p
16 Jun 2026

An approach similar to Artemis Income Fund but with a number of key exclusions

Income and growth

Targets companies with robust cashflows and reliable dividend yields, to deliver consistent income and capital appreciation

Exclusions

 Excludes companies that derive more than 10% of revenue from six areas including tobacco production, gambling, weapons and fossil fuels

Disciplined management

Managed by a seasoned team with a long track record in income investing over a range of market cycles

Adrian Frost headshot
Adrian Frost
Fund manager
Managed since launch
Andy Marsh headshot
Andy Marsh
Fund manager
Managed since Feb 2018
Nick Shenton headshot
Nick Shenton
Fund manager
Managed since Jan 2012

Awards and ratings

Alpha manager rating - Adrian FrostFE Crown 4
Third party endorsements are not a recommendation to buy. Ratings shown are using the most recent data. For sources, dates and other information, visit Third party endorsements

Key details

BenchmarkFTSE All-Share Index
Base currencyGBP
Unit typeAccumulation
Year end31 Dec
Pay dates31 Aug, 28 Feb
Valuation point12:00 UK time
ISA eligibleYes

This fund is actively managed.

Objective

To grow both income and capital over at least a five year period. The fund also aims to provide investors with a total return in excess of the FTSE All-Share Index, after fees, on an annualised basis over rolling five-year periods.

There is no guarantee that the fund will achieve a positive return over a five-year period or any other time period and your capital is at risk.

Investment strategy

  • The fund is actively managed.
  • A number of companies are removed from the investment universe at the outset of the investment process using the criteria set out in the investment policy above.
  • The manager believes that a company’s free cashflow yield drives its valuation.
  • Accordingly, the fund focuses on companies’ free cashflow yield by taking into account current and prospective dividends and the likelihood of the dividend being maintained in the future.
Line chart

Portfolio

Top 10 holdings (%)

IG Group Holdings
4.8
NatWest Group
4.5
Tesco
4.4
GSK
4.3
Lloyds Banking Group
4.3
Aviva
4.3
Barclays
4.2
Pearson
4.0
Informa
4.0
London Stock Exchange Group
3.3
Total number of holdings
45

Market cap breakdown (%)

Large
82.9
Mid
13.8
Small
1.3

Sector breakdown (%)

Financials
34.8
Consumer Discretionary
21.3
Consumer Staples
11.0
Health Care
10.5
Industrials
7.5
Real Estate
4.3
Technology
3.8
Basic Materials
3.2
Utilities
1.5

Source: Artemis as at 31 May 2026.

Figures may not add up to 100% due to rounding and cash and derivative holdings. Visit Glossary of terms for an explanation of investment terms.

Sustainability approach

Our approach is founded on the belief that good or improving ESG characteristics can lead to a better financial outcome, a lower cost of capital and long-term value creation.

Companies that are aware of their wider stakeholder responsibilities – to their employees, the environment and society as a whole – are more likely to be able to generate attractive cashflows over the longer term.

We are long-term stewards of client capital with a current average holding period of over six years. Regular meetings with companies are an important part of our investment process. We engage with companies when there are material issues to discuss.

TCFD fund-level report (PDF)

Our TCFD (Task Force on Climate-Related Financial Disclosures) fund-level reports provide our clients with transparency on certain climate-related metrics for our investment products.

We have produced a consolidated report which includes TCFD disclosures for all of our UK funds, along with an explanation of the climate metrics which we are disclosing for each fund.

Income (Exclusions) - Consumer-facing disclosure (PDF)

For certain funds with sustainability characteristics, Artemis is required to make various disclosures under the FCA's Sustainability Disclosure Requirements (SDR). These disclosures are intended to help investors understand a fund's approach to sustainability.

Share class information

Share class
ISINSEDOLLaunch dateMin investmentOCF*
I Acc GBP
GB00B06J1S53B06J1S516 Mar 2005£250,0000.780%
I Dist GBP
GB00B06T3N48B06T3N416 Mar 2005£250,0000.780%
*The OCF (ongoing charge figure) covers the annual operating expenses of running the fund. Additional costs may be incurred, such as portfolio transaction costs and transfer taxes, which may reduce performance. It is calculated using the most recent data available. Further information about the fund’s charges can be found in the Key Investor Information Document and by visiting: Charges and costs.

Risk considerations

Market volatility risk

The value of the fund and any income from it can fall or rise because of movements in stockmarkets, currencies and interest rates, each of which can move irrationally and be affected unpredictably by diverse factors, including political and economic events.

Currency risk

The fund’s assets may be priced in currencies other than the fund base currency. Changes in currency exchange rates can therefore affect the fund's value.

Charges from capital risk

Where charges are taken wholly or partly out of a fund's capital, distributable income may be increased at the expense of capital, which may constrain or erode capital growth.

Income risk

The payment of income and its level is not guaranteed.

ESG risk

The fund may select, sell or exclude investments based on ESG criteria; this may lead to the fund underperforming the broader market or other funds that do not apply ESG criteria. If sold based on ESG criteria rather than solely on financial considerations, the price obtained might be lower than that which could have been obtained had the sale not been required.

Risk and reward profile
Risk and reward profile

The fund is in the category shown due to historic volatility (how much and how quickly the value of shares in the fund may have risen and fallen in the past due to movements in markets, currencies and interest rates). It may not be a reliable indication of the future risk profile of the fund. The figure highlighted in the risk reward profile is the Summary Risk Indicator (SRI). For more information visit our Glossary of terms.

How to invest

Contact Us

Our London head office:

Tel: 0800 092 2051

Artemis Investment Management

Cassini House

57 St James's Street

London SW1A 1LD

Other information

FOR PROFESSIONAL INVESTORS AND/OR QUALIFIED INVESTORS AND/OR FINANCIAL INTERMEDIARIES ONLY. NOT FOR USE WITH OR BY PRIVATE INVESTORS.

This is a marketing communication. Before making any final investment decisions, and to understand the investment risks involved, refer to the fund prospectus and KIID/KID, available in English and in your local language (depending on local country registration) above or on the literature page. The documents can also be found on www.fundinfo.com.

Investment in a fund concerns the acquisition of units/shares in the fund and not in the underlying assets of the fund.

Reference to specific shares or companies should not be taken as advice or a recommendation to invest in them.

The fund is a UK NURS, available to certain distributors, intermediaries and other professional investors, subject to approval and a written agreement with Artemis. For further information, visit our fund structures page

Third parties (including FTSE, Russell, MSCI and Refinitiv) whose data may be included in this document do not accept any liability for errors or omissions. For information, visit our third party data page

Any research and analysis in this communication has been obtained by Artemis for its own use. Although this communication is based on sources of information that Artemis believes to be reliable, no guarantee is given as to its accuracy or completeness.

Any forward-looking statements are based on Artemis’ current expectations and projections and are subject to change without notice.

Issued by Artemis Fund Managers Ltd which is authorised and regulated by the Financial Conduct Authority.