


| Key | % Net Assets |
|---|---|
| 4.9% | |
| 4.6% | |
| 4.5% | |
| 4.0% | |
| 82% |
| Name | % Net Assets |
|---|---|
| Goldman Sachs Sterling Liquid Reserve | 4.9% |
| Source DJ Eurostoxx 50 | 4.6% |
| iShares iBoxx £ Corporate Bond | 4.5% |
| iShares € High Yield Bond | 4.0% |
| BlackRock Overseas Corporate Bond | 3.1% |
| iShares Citi Global Government Bond Index | 2.5% |
| Vanguard UK Investment Grade Bond | 2.4% |
| iShares JP Morgan Emerging Market Bond | 2.2% |
| RBS Asia Pacific ILN 5/11/2013 $ | 1.8% |
| iShares $ High Yield Bond | 1.7% |
No asset data available.
| Date | 20-Aug-2025 |
|---|---|
| NAV | 208.42p |
| Currency | GBP |
| Change | 0.23p |
| % | 0.11% |
| YTD change | 11.12p |
| YTD % | 5.64% |
| Fund Inception | 28/03/2008 |
|---|---|
| Fund Manager | n/a |
| TER | - |
| Minimum Investment | |
|---|---|
| Initial | £1000 |
| Additional | n/a |
| Savings | n/a |
| Charges | |
|---|---|
| Initial | 4.00% |
| Annual Mang't | 0.50% |
| Exit | n/a |
| Name | % |
|---|---|
| No risk data available. | |
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