03/10/2024 10:00:00 AM

Titan Global Investment Funds

Dividend Declaration

Provider: Apex Fund and Corporate Services (Guernsey) Ltd

Print

RAVENSCROFT INVESTMENT FUND OFFSHORE

Ravenscroft Global Balanced Fund

(the Fund)

DIVIDEND DECLARATION

The Board of Directors of the Manager of the Fund, Ravenscroft Investment

Management Limited wish to announce the rate of the interim dividend

payment for the period ended 30th September 2024:

I Accumulation Units

Ex-Dividend Date:

1 October 2024

Record Date:

30 September 2024

Dividend per Accumulation unit:

£3.70

Payment Date:

31 October 2024

Dividend type:

Accumulation

O Accumulation Units

Ex-Dividend Date:

1 October 2024

Record Date:

30 September 2024

Dividend per Accumulation unit:

£2.48

Payment Date:

31 October 2024

Dividend type:

Accumulation

O Distribution Units

Ex-Dividend Date:

1 October 2024

Record Date:

30 September 2024

Dividend per Distribution unit:

£1.59

Payment Date:

31 October 2024

Dividend type:

Income

S Accumulation Units

Ex-Dividend Date:

1 October 2024

Record Date:

30 September 2024

Dividend per Accumulation unit:

£1.63

Payment Date:

31 October 2024

Dividend type:

Accumulation

S Distribution Units

Ex-Dividend Date:

1 October 2024

Record Date:

30 September 2024

Dividend per Distribution unit:

£1.69

Payment Date:

31 October 2024

Dividend type:

Income

Enquiries:

The Manager

Ravenscroft Investment Management Limited

Telephone: + 44 (0) 1481 732 769

Email: funds@ravenscroftgroup.com