We permit the publication of our auditors’ report, provided the report is published in full only and is accompanied by the full financial statements to which our auditors’ report relates, and is only published on an access-controlled page on your website https://www.hermes-investment.com, to enable users to verify that an auditors’ report by independent accountants has been commissioned by the directors and issued. Such permission to publish is given by us without accepting or assuming any responsibility or liability to any third party users save where we have agreed terms with them in writing.
Our consent is given on condition that before any third party accesses our auditors’ report via the webpage they first document their agreement to the following terms of access to our report via a click-through webpage with an 'I accept' button. The terms to be included on your website are as follows:
I accept and agree for and on behalf of myself and the Trust I represent (each a "recipient") that:
Hermes Investment Management is one of the largest institutional asset managers in the UK. We offer actively managed public and private markets solutions to investors across the world and, in Hermes EOS, have one of the world’s largest stewardship resources.
help us improve the site.
By proceeding, you agree to cookies being placed on your computer.
Other Fund Documents & Indicies
Past performance is not a reliable guide to future performance
Performance and Rolling Year Performance
Performance periods over one year are annualised. Performance shown is net of all costs and management fees and is in the relevant currency of each share class. Performance is shown as a percentage and may not be available for all periods.
Some share classes shown above have a synthetic track prior to seed date, please refer to the fund factsheet for further information. Subscription and redemption fees are not included in the performance figures. Funds with a mid-month inception date show part period performance for that month. Fund performance shown is valued at midday, except for credit funds which are valued at close of business. Performance and factsheets for share classes which have less than a one year track record are not shown, but the information is available upon request from Hermes.