Our UK equity, global equity, multi-asset, absolute return and fixed income funds are designed to meet different long term investment objectives, including income, growth and absolute returns Our Premier Portfolio Management Service includes a range of eight diversified growth portfolios and three diversified income portfolios, designed to meet the different objectives and risk profiles of investors Our two investment trusts are focused on long term income and growth We have a team of experienced and proven fund managers We had £6.4 billion under management as at 31 December 2017 Our investment philosophy Our investment approach is designed to deliver good long term outcomes for our clients by giving our experienced and talented investment managers the freedom to perform within an appropriate risk and compliance framework. Our fund managers are picked because of their experience and expertise in their specific investment area. We do not have a prescribed house investment view or style and instead allow our fund managers and investment teams to follow their own proven investment approach, within an appropriate risk and governance framework, whilst sharing investment ideas and research. This investment culture allows us to attract and retain high quality investment managers and to build specialist teams to manage our different types of investment funds. Our fund management team Our investment funds are managed by our specialist investment teams. These include our multi-asset, UK equity, absolute return, global equity, global infrastructure, property securities and fixed income teams. Find out more about our fund managers, including the funds that they manage Meeting investors’ expectations We are always seeking to act in the interests of investors when operating or managing funds, which includes striving to ensure the fair treatment of our customers and managing investors’ expectations, including managing investments with performance and associated service of an acceptable standard as our clients have been led to expect. We aim to manage investments that are designed to meet specific long term investment objectives, provide clear information on our investments, and aim to ensure our clients do not face unreasonable post-sale barriers to change product, switch provider, cash-in an investment or make a complaint. Premier does not offer financial advice and we strongly recommend investors seek professional advice about the suitability of any investment that takes into account their personal circumstances. Responsible investment Premier is committed to taking a responsible approach to investing which includes complying with the principles for business of our regulator, the Financial Conduct Authority. Please view the documents below to find out more about our policies covering different aspects of our approach to responsible investing.

Stock ExchangeLSE
IndustryFinancial Services
CountryUnited Kingdom
World RegionNorth America
CEOMr. Michael Patrick O'Shea
Registered Year

  2017 2016 2015
  € m € m € m
Total interest income
Total Interest Expenses
Net Interest income
Total Net Revenue
Earnings per share      
Basic 0.09 0.01 0.01
Diluted 0.09 0.01 0.01
Total current assets 65,735 48,323 48,115
Other assets 1,097 1,580 1,802
Total assets 98,505 84,134 89,305
Total current liabilities 53,224 41,513 45,403
Total liabilities 53,224 88,832 95,009
Total Equity 45,281 -4,698 -5,704
Net income      
Net cash provided by operating activities 13 10 3
Net cash used for investment activities 0 2 0
Net cash provided by financing activities 7 7 3
Currency in EUR, All numbers in million.