HENDERSON CAUTIOUS MANAGED.

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1 A MIXED FUND 28 FEBRUARY HENDERSON CAUTIOUS MANAGED. FUND FACTS Product(s) OEIC/NISA Launch date 3 February 2003 Class launch date 3 February 2003 Fund size 2,159.4 million Number of holdings 167 Initial charge 0.00% Annual Management Charge (AMC) 1.25% Ongoing Charge 1.44% Performance fee No Historic yield (net of charges and tax) 3.10% USING THIS FUND FACTSHEET When you invest in a unit trust, OEIC or NISA, your money buys units or shares in one or more funds. These funds pool together money from other investors and a fund manager uses this money to invest in a number of different investments. This Fund Factsheet gives you detailed information about a particular fund to help you decide if it s right for you. It s important that you read this together with the available product documentation before you apply. If you're not sure what a word in the Fund Factsheet means, please turn to the glossary on page 5. FUND MANAGEMENT COMPANY This is basic background information about the company whose fund manager selects the investments that make up the fund. HENDERSON GLOBAL INVESTORS LIMITED Henderson Global Investors is a leading international investment company, with a strong reputation and a proud history, going back to Henderson's investment strengths are equities, fixed income, multimanager, commercial property and sustainable and responsible investment. Henderson have structured themselves with empowered decision-making at the heart of their business. Their fund managers are organised into compact, nimble teams, able to take decisions without the hindrance of a house-style or committee structure. Decisions are taken in a considered way - mindful of the risks yet alive to the opportunities. FUND MANAGERS The fund manager is professionally qualified to manage funds. It's their job to seek out the best investment opportunities, based on the fund's aim. They often have access to a team of experts to help them decide where to invest. John Pattullo 01/10/2013 Jenna Barnard 01/10/2013 Chris Burvill 01/02/2003 FUND OBJECTIVE This is a general description of what the fund aims to achieve, as stated by the fund management company. For a detailed description of what the fund invests in, please see the fund characteristics on page 2. IA SECTOR This is the IA sector the fund falls into. IA sectors are defined by The Investment Association (IA). The sectors are a way of grouping funds with similar characteristics, so they're easier to compare. The Fund aims to provide income and long-term capital growth by investing in a combination of company shares and a range of bonds in any country. The fund will invest no more than 60% of its value in company shares. IA MIXED INVT 20-60% SHARES Funds in this sector are required to have a range of different investments. The fund must have between 20% and 60% invested in company shares (equities). At least 30% of the fund must be in fixed income investments (for example, corporate and Government bonds) and/or "cash" investments. "Cash" can include investments such as current account cash, short-term fixed income investments and certificates of deposit. Maximum 60% equity exposure (including convertibles) Minimum 20% equity exposure Minimum 30% fixed income and cash Minimum 60% investment in established market currencies (US Dollar, Sterling & Euro) of which 30% must be Sterling Sterling requirement includes assets hedged back to Sterling EVERY DAY MATTERS.

2 HENDERSON CAUTIOUS MANAGED 28 FEBRUARY FUND CHARACTERISTICS This fund is overseen by an experienced fund manager who makes informed decisions on where to invest your money. The fund manager constantly monitors companies, economic conditions and markets to select and change a portfolio of investments that offers the best opportunities to meet the fund s aim. The fund invests in a mixture of investments such as equities, property, bonds and cash to help spread risk. The fund generally invests in the following: Equities. To provide the potential for overall returns the fund invests in equities, also known as company shares. This is achieved by receiving a share of companies profits as dividends, and benefiting from increases in share prices. Equities generally have a higher potential for returns than other investments, which also means a higher risk of loss especially in the short term. It s worth noting that if the shares in the companies chosen perform worse than expected or a major event impacts the shares, the returns on your investment could fall. Bonds. To provide the potential for overall returns the fund invests in bonds, also known as fixed interest securities. This is achieved by receiving regular interest on loans to companies or governments. There is a chance the bond issuer could fall into financial difficulty and will not be able to pay the interest or the loan back, which could result in a fall in your investment returns. Bonds can also be sensitive to trends in interest rate movements and if interest rates go up, the returns on your investment are likely to fall as bonds can become less attractive. On the other hand, if interest rates fall, bonds are likely to become more attractive and your investment returns increase. Some specific characteristics of the assets held in this fund include: High yield bonds. The fund invests in riskier bonds, known as sub-investment grade bonds. These bonds pay higher interest rates, to try to provide more attractive income returns. To achieve this, greater risk is taken as the companies are more likely to miss payments or not repay the loan, resulting in the returns on your investment falling. Overseas. The fund includes investments outside the UK to try to benefit from the greater range of investment opportunities other countries offer. The potentially high rewards of investing overseas are balanced by risks and therefore the returns on your investment could rise and fall more than if it only invested in the UK. This is because some of the investments are held in currencies other than the Pound and their value will change in line with exchange rates. If the Pound strengthens against another currency, the value of the investments held in that currency is likely to fall. However, if the Pound weakens against that currency, their value is likely to rise. FUND PERFORMANCE AS AT 28 FEBRUARY 2017 The graph opposite shows how the fund has performed over the last five years (or the fund launched) compared with the fund's IA sector average. The first table shows the total percentage change, over one, three and five years. The second table shows performance for 12-month periods over the last five years, to the end of the last quarter. NOTES: Please bear in mind that past performance is not a guide to future returns. The value of your investment and any income taken from it is not guaranteed and may go up and down. You could get back less than you invest. The performance provided for the fund is: Also: Is after all fund charges have been taken, excluding the initial charge, and assumes all income generated by the investments, after deduction of tax, remains in the fund. The sector values are based on the selling price of units or shares published by all the funds in that IA sector. Fund IA sector: IA Mixed Invt 20-60% Shares 1 year 3 years 5 years Fund IA sector ANNUAL FUND PERFORMANCE TO LAST QUARTER (%) 12 months to 31 Dec Dec Dec Dec Dec 16 Fund IA sector Performance data source: Lipper. A distribution unit class.

3 HENDERSON CAUTIOUS MANAGED 28 FEBRUARY FUND IDENTIFIERS These are unique codes used to identify a fund. You may find these codes useful if you intend to use financial websites to look up this fund. ISIN code SEDOL code MEX code GB GB GECMA GECMI ASSET ALLOCATION AND ALL BELOW INFORMATION AS AT 28 FEBRUARY 2017 An overview of the types of investments currently held by the fund. UK equities 51.98% International equities 1.80% UK corporate bonds 14.78% Property Cash and equivalents Investment Trusts 0.03% Other 0.46% International bonds 8.85% UK gilts 7.06% REGIONS BREAKDOWN Where in the world the fund currently invests. UK North America Developed Europe - excl UK 74.33% Unclassified - Property 7.22% Unclassified - Other 2.83% Unclassified - Cash and Equivalents COUNTRY BREAKDOWN The countries in which the fund currently invests. United Kingdom Germany United States 74.32% 6.85% France 0.46% Unclassified - Property Bermuda 0.37% Netherlands 0.94% Unclassified - Other Ireland 0.86% Unclassified - Cash and Equivalents EQUITIES & BONDS SECTOR BREAKDOWN The type of industries and services the fund currently invests. Financials 13.44% Oil & gas 5.10% Government 12.01% Consumer goods 4.53% Telecommunications 4.30% Basic materials 3.22% 1.70% Investment grade corporate bonds 11.40% Consumer services 9.24% Utilities High yield corporate bond 7.28% Technology Industrials 7.23% Health care 6.18% Other 0.15% 14.22% EQUITIES MARKET CAPITALISATION The size of the companies the fund currently invests in. > 50BN 17.61% > 250M and < 1BN 2.92% > 20BN and < 50BN 13.65% > 50M and < 250M 0.40% > 10BN and < 20BN 4.29% Unknown market capital > 5BN and < 10BN 4.34% Cash and equivalents > 3BN and < 5BN 3.66% Portfolio debt 30.69% > 1BN and < 3BN 7.25% 1.43%

4 HENDERSON CAUTIOUS MANAGED 28 FEBRUARY MATURITY BREAKDOWN The length of time until the bonds in the fund are due to be repaid. Generally, the longer till the repayment date, the more sensitive the prices of the bonds are to any changes in interest rates. < 5YR MATURITY 13.61% 5YR - 10YR MATURITY 12.04% 10YR - 15YR MATURITY 1.88% > 15YR MATURITY 3.16% CASH AND EQUIVALENTS NON BOND INVESTMENTS 55.55% CREDIT RATINGS (SOURCE: BLOOMBERG) The financial strength of the bonds the fund currently invests in. The higher the rating the more likely the bond issuer is to repay the interest or loan. The ratings range from AAA, the highest grade, to C, the lowest grade. AAA 4.80% AA 8.54% A 2.90% BBB 7.17% BB 2.12% B 1.16% NOT RATED 3.99% CASH AND EQUIVALENTS NON BOND INVESTMENTS 55.56% TOP 10 HOLDINGS The highest valued single holdings in the fund. Holding Sector % Royal Dutch Shell B Oil & Gas Producers 3.32% HSBC Holdings PLC (UK Reg) Banks 2.89% AstraZeneca Pharmaceuticals & Biotechnology 2.51% UNITED STATES GOVERNMENT 0.125% 15/07/2024 USD I/L Bonds 2.45% Vodafone Group Mobile Telecommunications 2.10% Imperial Brands Tobacco 2.08% Rio Tinto Mining 2.06% Lloyds Banking Group Banks 2.06% 1 7/8% Index-linked Treasury Gilt 2022 Bonds 2.03% GlaxoSmithKline Pharmaceuticals & Biotechnology 1.94% Percentage of fund in top %

5 HENDERSON CAUTIOUS MANAGED 28 FEBRUARY GLOSSARY Explanations of some of the words used in this Fund Factsheet. Annual Management Charge This is the charge that covers the costs of managing the fund and is taken out as a percentage of the fund's value. Cash and equivalents Some funds keep part of your money in cash to add flexibility and aid stability. This includes bank deposits and other investments that can be easily converted into cash. Fund characteristics Specific characteristics unique to the type of investments this fund may hold, which may affect your investment return. Fund size The total value of all investments held in the fund. Historic yield Initial charge The historic yield reflects the income payments declared over the past 12 months as a percentage of your investment. It does not include any initial charge and you may be subject to tax on your income payments. The initial charge is a percentage you'll pay each time you make an investment in certain funds or unit classes. Launch date The date the fund opened for new business. Lipper Ongoing Charge Performance fee A Thomson Reuters company that supplies fund information, analytical tools, and commentary. We use Lipper to provide past performance data on our fund factsheets. Shows the European Union standard disclosure of annual costs of a unit trust or OEIC, which includes the Annual Management Charge and any additional costs for managing the fund. A performance fee is charged to a fund if it performs better than a pre-agreed target. If it applies, your adviser can give you more information or further details are available on request. WHAT TO DO NEXT If you have any questions on this fund, please speak with a financial adviser. Remember you must read the available product documentation before you apply. IMPORTANT INFORMATION Source: The portfolio details have been supplied by the fund management company and are assumed to be correct by Legal & General. All other data sourced from Legal & General Group PLC unless otherwise stated. Legal & General (Unit Trust s) Limited. Registered in England and Wales No Registered office: One Coleman Street, London EC2R 5AA. Authorised and regulated by the Financial Conduct Authority. We are members of The Investment Association. Factsheet produced by FundsLibrary.

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