The Fund aims to achieve market rates of income from investment predominantly in sterling denominated fixed interest securities.
Name | % Net Assets |
---|---|
TREASURY 5% GILT 2012 | 16.6% |
TREASURY 2.75% GILT 22/01/15 GBP | 12.5% |
TREASURY 5% GILT 2025 | 8.4% |
TREASURY 2.25% GILT 07/03/14 GBP0.01 | 7.3% |
TREASURY 4.75% GILT 07/09/15 GBP | 6.9% |
TREASURY 3.75% GILT 7/9/20 GBP0.01 | 6.5% |
TREASURY 4.25% GILT 7/12/2027 | 6.5% |
TREASURY 4% GILT 7/09/2016 | 6.4% |
TREASURY 4.25% GILT 07/12/55 GBP0.01 | 5.1% |
TREASURY 4.5% GILT 7/9/2034 GBP0.01 | 4.9% |
Key | % Net Assets |
---|---|
TREASURY 5% GILT 2012 | 16.6% |
TREASURY 2.75% GILT 22/01/15 GBP | 12.5% |
TREASURY 5% GILT 2025 | 8.4% |
TREASURY 2.25% GILT 07/03/14 GBP0.01 | 7.3% |
Other | 55.2% |
Date | n/a |
---|---|
Bid | 0.00 |
Offer | 0.00 |
Currency | n/a |
Change | 0.00 |
% | n/a |
YTD change | 0.00 |
YTD % | n/a |
Fund Inception | 16/04/1998 |
---|---|
Fund Manager | n/a |
TER | - |
Minimum Investment | |
---|---|
Initial | n/a |
Additional | n/a |
Savings | n/a |
Charges | |
---|---|
Initial | 3.50% |
Annual Mang't | 0.40% |
Exit | n/a |
Name | % |
---|---|
No risk data available. |
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