


The fund seeks to gain exposure to a diversified notional portfolio comprising approximately 20% by value of equity securities and 80% by value of fixed income securities.
| Name | % Net Assets |
|---|---|
| No holding data available. | |
No holdings data available.
| Date | 19-Aug-2025 |
|---|---|
| NAV | 13,623.96p |
| Currency | GBP |
| Change | 0.000p |
| % | n/a |
| YTD change | 21.55p |
| YTD % | 0.16% |
| Fund Inception | 23/06/2011 |
|---|---|
| Fund Manager | Vanguard Equity Index Group |
| Minimum Investment | |
|---|---|
| Initial | £100000 |
| Additional | n/a |
| Savings | n/a |
| Charges | |
|---|---|
| Initial | n/a |
| Annual Mang't | 0.22% |
| Exit | n/a |
| Name | % |
|---|---|
| No risk data available. | |
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