Scottish Widows Balanced Portfolio A Acc
| Shares Class | Inc. |
|---|---|
| Yield | 0.60 |
| Total Expense Ratio | 2.00 |
Fund Performance
Cumulative Performance
Discrete Performance
| Shares Class | Inc. |
|---|---|
| Yield | 0.60 |
| Total Expense Ratio | 2.00 |
Cumulative Performance
Discrete Performance
| Fund Size | 356,795,703.00 | Launch Date | 28/01/2002 | Standard Initial Charge (%) | 5.00 |
|---|---|---|---|---|---|
| Currency | GBX | ISA Eligible | Yes | Annual Management Charge (%) | 2.00 |
| Sector | IMA UK Equity Income | Min Investment (£) | 1,000.00 | Total Expense Ratio (%) | 2.00 |
| ISIN | GB0031611196 | Min Topup (£) | 100.00 | Ongoing Charge (%) | 2.0000 (on 27/01/2021) |
To provide capital growth by investing in multi-manager regulated collective investment schemes. The Fund will invest in a balance of fixed interest security and equity funds (these are funds which invest in shares.) The Fund can invest up to a maximum of 60% in equity funds and a maximum of 60% in fixed interest security funds. These investments will be diversified across the United Kingdom and a number of international markets. We do not quote a benchmark or outperformance target for the Fund. This is because the asset allocation of the Fund will change over time. Many funds sold in the UK are grouped into sectors by the Investment Association (the trade body that represents UK investment managers) to help investors compare funds with broadly similar characteristics. Investors may wish to consider the performance of the Fund by looking at the performance of the “Mixed Investment 20-60% Shares Sector” which as of February 2020 has a broadly similar allocation to shares, fixed interest securities and cash. The Fund may not always align with this sector and any changes will be notified via our website, accessible via the Fund Changes link below. For further information on this fund's policy and objectives, please refer to the Key Investor Information Document or the Prospectus. These documents can be accessed via the following link:
Philip Chandler
Fund manager in the Diversified Growth team, focussing on UK and North American institutional and intermediary clients. Head of Term risk premium team of the Strategic Investment Group Multi-Asset (SIGMA). Initially joined Schroders as a portfolio manager in the Fixed Income team, with responsibility for global rates, money markets and then Gilt and European government portfolios. Transferred to the Multi-Asset team in 2009. CFA Charterholder. Degree in Philosophy, Politics and Economics, University of Oxford.
| Name | Weight |
|---|---|
| Alternative Investment Strateg | 0.00% |
| Europe ex UK Equities | 10.00% |
| Futures | 0.00% |
| Global Fixed Interest | 47.00% |
| Japanese Equities | 2.00% |
| Money Market | 1.00% |
| North American Equities | 17.00% |
| UK Equities | 20.00% |
| Name | Weight |
|---|---|
| Equities | 1.51% |
| Fixed Interest | 7.22% |
| Futures | 0.09% |
| Money Market | 0.97% |
| Name | Weight |
|---|---|
| RUSSELL INVESTMENT CO PLC US E | 16.00% |
| RUSSELL INVESTMENT CO II PLC | 10.00% |
| RUSSELL INVESTMENT CO PLC | 9.00% |
| RUSSELL INVESTMENTS GLOBAL BON | 9.00% |
| SCHRODERS PW MULTI-MANAGER UK | 9.00% |
| RUSSELL INVESTMENTS STERLING B | 7.00% |
| RUSSELL IC CONTINENTAL EUROPEA | 6.00% |
| RUSSELL INVESTMENT CO PLC PACI | 3.00% |
Please remember that past performance is not a guide of future returns. The value of investments and the income from them can go down as well as up as a result of currency exchange and market fluctuations and investors may not get back the amount originally invested.