FundsDomicile GB

Artemis Fund Managers data from any ISIN

Artemis is an independent UK fund manager whose range consists of UK-domiciled unit trusts and OEICs: UK and global income, UK select, global equity, US and bond strategies, plus a small Luxembourg SICAV mirror.

What the API returns for Artemis Fund Managers products

Sections marked as covered are populated for the large majority of Artemis Fund Managers share classes; the others depend on what the specific document set discloses. Use data.dataAsOf for the document date.

Example ISINs

Publicly listed share classes you can use to explore the payload shape (example identifiers, not recommendations):
GB00B5N99561Artemis Global Income Fund I Inc GBP
GB00B2PLJJ36Artemis Income Fund I Dist GBP
curl https://fundfactsapi.com/api/v1/funds/GB00B5N99561 \
  -H "Authorization: Bearer ffk_your_key"

Artemis publishes a share-class page, a factsheet, a KIID and a price history file, and the API reads all four. The price history is what makes Artemis unusual among UK active managers: indexedPerformance is a daily series and the volatility, Sharpe ratio and drawdown figures are computed from it (flagged in notes).

Calendar returns

The share-class page shows discrete performance for a couple of years only, so calendarReturns is short (fewer than three years) even though the series itself is long; compute annual returns from indexedPerformance.points if you need a full table.

UK-only funds

The Income fund is a UK equity fund and returns no meaningful country split; global funds return the usual table.

Frequently asked questions

Is FundFacts API affiliated with Artemis Fund Managers?

No. FundFacts API is an independent service. It reads the documents Artemis Fund Managers publishes for its funds (factsheets, key information documents, holdings files and product pages) and returns the figures as structured JSON. Artemis Fund Managers does not sponsor, endorse or review this service.

Which Artemis Fund Managers share classes are supported?

Any share class that has a public product page or document set in the issuer's fund centre. Each share class has its own ISIN, so request the exact ISIN you hold or display; an accumulating and a distributing class of the same fund return different key facts, fees and performance.

How fresh is the data?

Every ISIN is reloaded from the issuer's current documents at most every 24 hours. The response carries generatedAt and expiresAt, and data.dataAsOf reflects the as-of date printed in the document itself, which for monthly factsheets is typically the previous month end.

Are the risk metrics for Artemis funds the issuer's own figures?

No. They are computed by the API from the daily price history Artemis publishes (risk-free rate 0%), which the response states in notes. The factsheet's own statistics are not copied.

Independence and trademarks

Artemis Fund Managers is a trademark of Artemis Investment Management LLP or its affiliates. FundFacts API is an independent service and is not affiliated with, sponsored by or endorsed by Artemis Investment Management LLP. The name is used only to identify the publicly available documents this service reads. Figures are reproduced from those documents as published and may lag the issuer's live data; always verify against the official documents before making an investment decision. Nothing on this page is investment advice.

Request a Artemis Fund Managers ISIN now

Free plan, 150 requests a month, no card. The first load of a cold ISIN takes one to three minutes; later calls within 24 hours are answered from the store.