Risk Rated Fund Fact Sheets April 2018

Size: px
Start display at page:

Download "Risk Rated Fund Fact Sheets April 2018"

Transcription

1 Risk Rated Fund Fact Sheets April 2018

2 >Awards and Recognition 2017 Internation Fund Awards Best Risked Rated Multi-Manager Fund Manager & Recognised Leaders in FOF - UK Global Fund Awards 2016 Most outstanding Risk Rated Fund of Funds Global Fund Awards 2016 Risk Rated Strategies Management Team of the Year Global Fund Awards 2016 Boutique Investment Manager of the Year UK 2016 International Fund Awards Best for Risk Rated Multi Manager Funds & Best Performing Multi- Asset Risk Fund 2015 International Fund Awards Award for Exceptional Fund Management - The Margetts Risk Rated Funds Investment Week Fund Manager Awards 2014 Winner in the discretionary category Defaqto 4 Diamonds 2013/14 Risk Targeted Multi-Manager Funds Moneywise Pension Awards 2013 Venture Awarded Best Flexible Investment Fund

3 >Providence Strategy Fund April 2018 Risk Rated Fund The fund is one of four Margetts Risk Rated funds. The Risk Rated funds can be used independently or combined with each other to create an actively managed portfolio with a specific risk profile to meet investors' requirements. The objective of the team is to analyse macro economic data and the investment cycle for opportunities to add value or protect the fund from foreseen dangers to gain relative performance over time. Risk Profile Each fund is managed to its individual risk profile. The fund will have a minimum recommended timescale, which is associated with its level of risk. A financial adviser can help to assess which fund is most appropriate for your needs. Asset Allocation 7% Objective To achieve long term capital with increasing income from distributions. The fund will invest in cash, fixed interest securities, domestic and international equities, with a view to minimising volatility Lower volatility through a diversified portfolio medium to long term Growth from worldwide opportunities adventurous Portfolio Holdings Weighting Asia Pacific 7.5% Legal & General Asian Income Trust 7.5% Bonds 38.9% Royal London Global Index Linked Z 5.7% Vanguard U.K. Short-Term Investmen 7.6% Legal & General Short Dated Sterling 7.3% BlackRock Corporate Bond X Acc 5.7% Royal London Short Duration Credit Z 5.0% AXA Sterling Credit Short Duration Bo 7.6% Cash / Money Markets 4.7% Goldman Sachs Sterling Liquid Reser 3.2% Cash 1.6% UK Equity Income 48.9% Aviva Investors UK Equity Income Fu 7.5% Vanguard FTSE U.K. Equity Income I 7.3% Franklin UK Equity Income Fund W A 7.1% Threadneedle UK Equity Income Fun 7.0% Schroder UK Alpha Income Fund Clas 5.9% Royal London UK Equity Income Fun 7.1% Premier Income Fund Class C Income 7.0% 49% 39% Asia Pacific Bonds Cash / Money Markets UK Equity Income 5% Portfolio data as at 31/03/2018

4 Performance (%) 35 Margetts Providence Strategy R GBP Acc IA OE Mixed Investment 20-60% Shares Key Facts Valuation point Deals can be placed between Launch date Fund size Ex-dividend dates Payment dates 08:30 09:30-17:00 27/01/ m 31 Dec / 30 Jun 28 Feb / 31 Aug Performance is based on Margetts Providence Strategy R GBP Acc. The performance for other share classes may differ due to the difference in charges /03/ /03/ /03/ /03/ /03/ /03/2018 Providence IA OE Mixed Investment 20-60% Shares 1 Year Cumulative Performance 3 Years Years Years Discrete Performance YTD Source: Morningstar Direct as at 31/03/2018. Performance is bid to bid with income reinvested. Past performance is no guarantee of future performance and investors may get back less than the original amount invested. Share Class Information Name ISIN Minimum Investment Lump Sum Regular Initial Charge AMC Ongoing Charges (Inc. Margetts Providence Strategy Fund Acc GB , % % 2.73% Margetts Providence Strategy Fund Inc GB , % % 2.73% Margetts Providence Strategy Fund R Acc GB00B4VR6328 1, % % 2.72% Margetts Providence Strategy Fund R Inc GB00B7TRY424 1, % % 2.72% Yield

5 >Select Strategy Fund Risk Rated Fund The fund is one of four Margetts Risk Rated funds. The Risk Rated funds can be used independently or combined with each other to create an actively managed portfolio with a specific risk profile to meet investors' requirements. The objective of the team is to analyse macro economic data and the investment cycle for opportunities to add value or protect the fund from foreseen dangers to gain relative performance over time. Risk Profile Each fund is managed to its individual risk profile. The fund will have a minimum recommended timescale, which is associated with its level of risk. A financial adviser can help to assess which fund is most appropriate for your needs. Asset Allocation 20% 12% 12% 20% 7% 7% 20% 2% Objective The fund aims to achieve medium to long term capital on a medium risk basis. The fund will adopt a cautious but active management approach via a diverse spread of mainly UK and European equity, fixed interest, money market collective investments and cash. The fund will include collective investment schemes investing in various world markets Lower volatility through a diversified portfolio medium to long term Asia Pacific Bonds Cash / Money Markets Emerging Markets Europe UK UK Equity Income USA Growth from worldwide opportunities adventurous Portfolio Holdings April 2018 Weighting Asia Pacific 12.3% Schroder Asian Income L GBP Accum 6.0% BlackRock Asia Z Acc GBP 6.2% Bonds 19.6% Royal London Short Duration Global I 6.5% Legal & General Short Dated Sterling 6.3% Kames Investment Grade Bond B Acc 6.8% Cash / Money Markets 2.0% Cash 2.0% Emerging Markets 6.7% Henderson Emerging Markets Opport 6.7% Europe 6.9% F&C European Growth & Income 2 Ac 3.5% Invesco Perpetual European Equity In 3.5% UK 20.6% Jupiter UK Special Situations I Acc 7.0% ishares UK Equity Index Fund (UK) D 6.7% SVM UK Growth Institutional 7.0% UK Equity Income 20.5% BlackRock UK Income Fund Class X 6.8% Rathbone Income Fund Institutional A 6.9% Majedie UK Income Class X Accumul 6.9% USA 11.5% Fidelity Index US Fund P Accumulatio 5.9% Vanguard US Equity Index Acc 5.7% Portfolio data as at 31/03/2018

6 Performance (%) Key Facts Margetts Select Strategy R GBP Acc IA OE Mixed Investment 40-85% Shares Valuation point Deals can be placed between Launch date Fund size Ex-dividend dates Payment dates 08:30 09:30-17:00 20/03/ m 31 Dec / 30 Jun 28 Feb / 31 Aug 20 Performance is based on Margetts Select Strategy R GBP Acc. 10 The performance for other share classes may differ due to the difference in charges /03/ /03/ /03/ /03/ /03/ /03/2018 Select IA OE Mixed Investment 40-85% Shares 1 Year 0.04 Cumulative Performance 3 Years Years Years Discrete Performance YTD Source: Morningstar Direct as at 31/03/2018. Performance is bid to bid with income reinvested. Past performance is no guarantee of future performance and investors may get back less than the original amount invested. Share Class Information Name ISIN Minimum Investment Lump Sum Regular Initial Charge AMC Ongoing Charges (Inc. Margetts Select Strategy Fund Acc GB , % % 0.6% Margetts Select Strategy Fund R Acc GB00B8K0B575 1, % % 1.34% Yield

7 >International Strategy Fund Risk Rated Fund The fund is one of four Margetts Risk Rated funds. The Risk Rated funds can be used independently or combined with each other to create an actively managed portfolio with a specific risk profile to meet investors' requirements. The objective of the team is to analyse macro economic data and the investment cycle for opportunities to add value or protect the fund from foreseen dangers to gain relative performance over time. Risk Profile Each fund is managed to its individual risk profile. The fund will have a minimum recommended timescale, which is associated with its level of risk. A financial adviser can help to assess which fund is most appropriate for your needs. Asset Allocation 33% 16% 7% 14% 3% 17% 10% Objective Long term from capital appreciation and re-invested income. The investment emphasis will be on global equities and may include relatively high weightings in overseas markets. A degree of volatility should be expected in the short/medium term Lower volatility through a diversified portfolio medium to long term Asia Pacific Cash / Money Markets Emerging Markets Europe Japan UK USA Growth from worldwide opportunities adventurous Portfolio Holdings April 2018 Weighting Asia Pacific 13.6% Baillie Gifford Pacific B Acc 6.7% Legal & General Asian Income Trust 6.9% Cash / Money Markets 2.8% Cash 2.8% Emerging Markets 10.3% Standard Life Investments Global Em 5.3% Threadneedle Global Emerging Mark 5.0% Europe 16.8% HSBC European Index Fund Accumul 5.6% JPM Europe Dynamic Fund (ex-uk) C 5.6% BlackRock Continental European Fun 5.6% Japan 6.9% Schroder Tokyo Fund L GBP Hedged 3.5% Schroder Tokyo Fund L GBP Accumul 3.4% UK 16.0% JPM UK Dynamic Fund C - Net Accu 5.6% Vanguard FTSE U.K. All Share Index 6.0% Threadneedle UK Growth & Income F 4.3% USA 33.7% JPM US Select C - Net Accumulation 8.4% Vanguard US Equity Index Acc 8.5% ishares North American Equity Index 8.2% Fidelity Index US Fund P Accumulatio 8.6% Portfolio data as at 31/03/2018

8 Performance (%) Key Facts Margetts Intl Strategy R GBP Acc IA OE Global Valuation point Deals can be placed between Launch date Fund size Ex-dividend dates Payment dates 08:30 09:30-17:00 26/06/ m 31 Dec / 30 Jun 28 Feb / 31 Aug Performance is based on Margetts Intl Strategy R GBP Acc The performance for other share classes may differ due to the difference in charges /03/ /03/ /03/ /03/ /03/ /03/2018 International IA OE Global 1 Year 1.95 Cumulative Performance 3 Years Years Years Discrete Performance YTD Source: Morningstar Direct as at 31/03/2018. Performance is bid to bid with income reinvested. Past performance is no guarantee of future performance and investors may get back less than the original amount invested. Share Class Information Name ISIN Minimum Investment Lump Sum Regular Initial Charge AMC Ongoing Charges (Inc. Margetts International Strategy Fund Acc GB , % % 0% Margetts International Strategy Fund R Acc GB00B8FN1Z15 1, % % 0.68% Yield

9 >Venture Strategy Fund Risk Rated Fund The fund is one of four Margetts Risk Rated funds. The Risk Rated funds can be used independently or combined with each other to create an actively managed portfolio with a specific risk profile to meet investors' requirements. The objective of the team is to analyse macro economic data and the investment cycle for opportunities to add value or protect the fund from foreseen dangers to gain relative performance over time. Risk Profile Each fund is managed to its individual risk profile. The fund will have a minimum recommended timescale, which is associated with its level of risk. A financial adviser can help to assess which fund is most appropriate for your needs. Asset Allocation 5% 7% 9% 6% 36% 28% 5% 4% Objective Long term through a diversified portfolio of predominantly international equities. A high degree of volatility over the short term is possible Lower volatility through a diversified portfolio medium to long term Asia Pacific Cash / Money Markets Emerging Markets Europe Other Specialist UK USA Growth from worldwide opportunities adventurous Portfolio Holdings April 2018 Weighting Asia Pacific 28.5% Schroder Asian Income L GBP Accum 7.2% Fidelity Institutional South East Asia A 7.1% Schroder Institutional Pacific I Acc 7.2% Invesco Perpetual Asian No Trail Acc 7.0% Cash / Money Markets 4.0% Cash 4.0% Emerging Markets 34.8% JPM Emerging Markets Income Fund 6.0% Invesco Perpetual Global Emerging M 5.6% Henderson Emerging Markets Opport 5.7% Threadneedle Global Emerging Mark 5.8% Fidelity Emerging Markets Fund W Ac 5.8% Fidelity Index Emerging Markets P Ac 5.9% Europe 5.4% F&C European Growth & Income 2 Ac 5.4% Other 5.4% M&G Global Dividend Fund Sterling I 5.4% Specialist 7.1% Stewart Investors Asia Pacific Leader 7.1% UK 8.9% Vanguard FTSE U.K. All Share Index 8.9% USA 5.9% Vanguard US Equity Index Acc 5.9% Portfolio data as at 31/03/2018

10 Performance (%) 60 Margetts Venture Strategy Fd R GBP Acc IA OE Flexible Investment Key Facts Valuation point Deals can be placed between Launch date Fund size Ex-dividend dates Payment dates 08:30 09:30-17:00 01/02/ m 31 Dec / 30 Jun 28 Feb / 31 Aug Performance is based on Margetts Venture Strategy Fd R GBP Acc. The performance for other share classes may differ due to the difference in charges /03/ /03/ /03/ /03/ /03/ /03/2018 Venture IA OE Flexible Investment 1 Year 2.88 Cumulative Performance 3 Years Years Years Discrete Performance YTD Source: Morningstar Direct as at 31/03/2018. Performance is bid to bid with income reinvested. Past performance is no guarantee of future performance and investors may get back less than the original amount invested. Share Class Information Name ISIN Minimum Investment Lump Sum Regular Initial Charge AMC Ongoing Charges (Inc. Margetts Venture Strategy Fund Acc GB , % % 0.1% Margetts Venture Strategy Fund R Acc GB00B6VBDR16 1, % % 0.83% Yield

11 Important Information Margetts Fund Management Ltd is authorised and regulated by the Financial Conduct Authority. Past Performance is no guarantee of future performance. The value of an investment and the income from it can fall as well as rise and investors may get back less than they invested. Quoted yields are based on the previous 12 months distributions to investors and are not guaranteed. Future distributions may differ and will be subject to market factors. Risk factors should be taken into account and understood including (but not limited to) currency movements, market risk, liquidity risk, concentration risk, lack of certainty risk, inflation risk, performance risk, local market risk and credit risk. The information on this factsheet is intended to provide information only and should not be interpreted as advice. Margetts recommend that investors seek professional advice before making any investment to ensure that the product is suitable and can achieve their objectives. Investors should ensure that they have read and understood the Non UCITS Retail Scheme Key Investor Information Document (NURS-KII) and Supplementary Information Document (SID), which contain important information. A copy of these documents is available on the website or on request from Margetts Fund Management. Contact details are provided below. Margetts does not warrant that information will be error-free. Award Winners for Investment Performance Margetts Fund Management Ltd 1 Sovereign Court Graham Street Birmingham B1 3JR Registered in England No Authorised and Regulated by the Financial Conduct Authority

Risk Rated Funds Fact Sheets January 2018

Risk Rated Funds Fact Sheets January 2018 Risk Rated Funds Fact Sheets January 2018 >Awards and Recognition 2017 Internation Fund Awards Best Risked Rated Multi-Manager Fund Manager & Recognised Leaders in FOF - UK Global Fund Awards 2016 Most

More information

Risk Rated Funds. Fact Sheets. August 2018

Risk Rated Funds. Fact Sheets. August 2018 Risk Rated Funds Fact Sheets August 2018 >Awards and Recognition 2017 International Fund Awards Best Risked Rated Multi-Manager Fund Manager & Recognised Leaders in FOF - UK Global Fund Awards 2016 Most

More information

Risk Rated Funds Fact Sheets July 2017

Risk Rated Funds Fact Sheets July 2017 Risk Rated Funds Fact Sheets July 2017 >Awards and Recognition Global Fund Awards 2016 Most outstanding Risk Rated Fund of Funds Global Fund Awards 2016 Risk Rated Strategies Management Team of the Year

More information

Risk Rated Funds Fact Sheets December 2016

Risk Rated Funds Fact Sheets December 2016 Risk Rated Funds Fact Sheets December 2016 >Awards and Recognition Global Fund Awards 2016 Most outstanding Risk Rated Fund of Funds Global Fund Awards 2016 Risk Rated Strategies Management Team of the

More information

Risk Rated Funds. Fact Sheets. January 2019

Risk Rated Funds. Fact Sheets. January 2019 Risk Rated Funds Fact Sheets January 2019 >Awards and Recognition 2017 International Fund Awards Best Risked Rated Multi-Manager Fund Manager & Recognised Leaders in FOF - UK Global Fund Awards 2016 Most

More information

Risk Rated Fund Fact Sheets September 2016

Risk Rated Fund Fact Sheets September 2016 Risk Rated Fund Fact Sheets September 2016 >Awards and Recognition 2016 International Fund Awards Best for Risk Rated Multi Manager Funds & Best Performing Multi-Asset Risk Fund : Margetts Providence 2015

More information

Fact Sheets January 2019

Fact Sheets January 2019 Fact Sheets January 2019 >Awards and Recognition 2017 International Fund Awards Best Risked Rated Multi-Manager Fund Manager & Recognised Leaders in FOF - UK Global Fund Awards 2016 Most outstanding Risk

More information

Smith & Williamson Managed Portfolio Service factsheets

Smith & Williamson Managed Portfolio Service factsheets Smith & Williamson Managed Portfolio Service factsheets Defensive Income (OE) Portfolio Profile 31 August 2017 For professional advisers only - Not for use by or distribution to retail clients. Portfolio

More information

RETIREMENT ACCOUNT SCOTTISH WIDOWS PENSION FUND CHARGES

RETIREMENT ACCOUNT SCOTTISH WIDOWS PENSION FUND CHARGES RETIREMENT ACCOUNT SCOTTISH WIDOWS PENSION FUND CHARGES SCOTTISH WIDOWS PENSION FUNDS FUND CHOICE AND FUND CHARGES Scottish Widows Funds, managed by a subsidiary of Aberdeen Standard s Scottish Widows

More information

FUND CHOICE AND FUND CHARGES

FUND CHOICE AND FUND CHARGES FUND CHOICE AND FUND CHARGES PENSIONS Pension products which have a standard Annual Management Charge of 1% for most of our funds (please see note 9). (Stakeholder Pension charges are not included in this

More information

RETIREMENT ACCOUNT WEALTH MANAGEMENT. Scottish Widows Pension Fund Charges

RETIREMENT ACCOUNT WEALTH MANAGEMENT. Scottish Widows Pension Fund Charges RETIREMENT ACCOUNT WEALTH MANAGEMENT Scottish Widows Pension Fund Charges SCOTTISH WIDOWS PENSION FUNDS FUND CHOICE AND FUND CHARGES Scottish Widows Funds, managed by a subsidiary of Aberdeen Standard

More information

JH Defensive Income. 31 st December Portfolio Objective. Risk Range. Performance chart. Product mix. Geographic & asset breakdown

JH Defensive Income. 31 st December Portfolio Objective. Risk Range. Performance chart. Product mix. Geographic & asset breakdown JH Defensive Income 31 st December 2016 Portfolio Objective The strategy aims to deliver defensive total returns with an emphasis on offering above average* income. The portfolio may invest between 35%

More information

FUND CHOICE AND FUND CHARGES

FUND CHOICE AND FUND CHARGES FUND CHOICE AND FUND CHARGES PENSIONS Pension products which have a standard Annual Management Charge of 1% for most of our funds (please see note 9). (Stakeholder Pension charges are not included in this

More information

Legal & General (PMC) All Stocks Gilts Index Fund UK Gilts 0.20% 0.00%

Legal & General (PMC) All Stocks Gilts Index Fund UK Gilts 0.20% 0.00% PORTFOLIO PLUS FUND DETAILS This document shows the fund management charge, Association of British Insurers (ABI) sectors and spreads for the funds available on the Portfolio Plus SIPP and Portfolio Plus

More information

Sterling Investment Bond. Investment funds guide

Sterling Investment Bond. Investment funds guide Sterling Investment Bond Investment funds guide 1 Contents Introduction 2 List of current investment funds by sector 4 Investment choice and flexibility 10 Fund risks 11 Managed funds 12 Multi-Managed

More information

Academy of Funds. Analytics Report. Click below to view our latest. Quarter Talking Withs. Talking Factsheets.

Academy of Funds. Analytics Report. Click below to view our latest. Quarter Talking Withs. Talking Factsheets. Quarter 2 2018 For Professional Clients Only Academy of Funds Analytics Report Click below to view our latest Talking Withs Talking Factsheets @SquareMileICR info@squaremileresearch.com squaremileresearch.com

More information

Zurich Flexible Personal Pension (Section 61 plan) Zurich Personal Pension (89 plan)

Zurich Flexible Personal Pension (Section 61 plan) Zurich Personal Pension (89 plan) Company sponsored personal pension plans Zurich Flexible Personal Pension (Section 61 plan) Zurich Personal Pension (89 plan) Funds Guide To offer the best value for our customers, we use our global buying

More information

Aviva Select Funds. An overview of our funds. Retirement Investments Insurance Health

Aviva Select Funds. An overview of our funds. Retirement Investments Insurance Health For financial adviser use only. Not approved for use with customers Aviva Select Funds An overview of our funds Retirement Investments Insurance Health Welcome to our range of fully researched funds Aviva

More information

Your choice of pension funds

Your choice of pension funds Your choice of pension funds Contents Introduction 3 List of current investment funds by sector 4 Investment choice, flexibility and fund risks 8 Managed funds 10 Multimanaged funds 17 UK equity funds

More information

Academy of Funds. Analytics Report. Click below to view our latest. Quarter Talking Withs. Talking Factsheets.

Academy of Funds. Analytics Report. Click below to view our latest. Quarter Talking Withs. Talking Factsheets. Quarter 3 2018 For Professional Clients Only Academy of Funds Analytics Report Click below to view our latest Talking Withs Talking Factsheets @SquareMileICR info@squaremileresearch.com squaremileresearch.com

More information

Life funds series 4 Monthly performance update. For investments in the Flexible Investment Bond (level option) and Select Investment Bond

Life funds series 4 Monthly performance update. For investments in the Flexible Investment Bond (level option) and Select Investment Bond Life funds series 4 Monthly performance update For investments in the Flexible Investment Bond (level option) and Select Investment Bond This monthly fund performance update is designed give you the latest

More information

Legal & General All Stocks Gilt Index Fund LS5 UK Gilts 0.12% 0.05% 0.17% 0.06%

Legal & General All Stocks Gilt Index Fund LS5 UK Gilts 0.12% 0.05% 0.17% 0.06% SELECT PORTFOLIO BOND (WEALTH MANAGERS) FUND DETAILS This document shows the fund charges, Association of British Insurers (ABI) sectors and valuation spreads for the funds available on our Select Portfolio

More information

Legal & General All Stocks Gilt Index Fund LS5 UK Gilts 0.12% 0.04% 0.16% 0.05%

Legal & General All Stocks Gilt Index Fund LS5 UK Gilts 0.12% 0.04% 0.16% 0.05% SELECT PORTFOLIO bond (WEALTH MANAGERS) FUND DETAILS This document shows the fund charges, Association of British Insurers (ABI) sectors and valuation spreads for the funds available on our Select Portfolio

More information

Sterling Investment Bond Fund Specific projection rates Series 1

Sterling Investment Bond Fund Specific projection rates Series 1 Sterling Investment Bond Fund Specific projection rates Series 1 This document lists the funds available through the Sterling Investment Bond and the fund specific projection rates used in our illustrations.

More information

Pension funds series 4 Monthly performance update. For investments in the Annuity Growth Account and Trustee Investment Plan

Pension funds series 4 Monthly performance update. For investments in the Annuity Growth Account and Trustee Investment Plan Pension funds series 4 Monthly performance update For investments in the Annuity Growth Account and Trustee Investment Plan This monthly fund performance update is designed give you the latest past performance

More information

YOUR QUARTERLY FUND PERFORMANCE.

YOUR QUARTERLY FUND PERFORMANCE. 30 JUNE 2016 YOUR QUARTERLY FUND PERFORMANCE. We know it s important for you to stay up to speed with your fund s performance. That s why we provide this quarterly update on the performance of our range

More information

RETIREMENT WEALTH ACCOUNT

RETIREMENT WEALTH ACCOUNT RETIREMENT WEALTH ACCOUNT FUND LIST JUNE 2018 This fund list details the Phoenix Wealth pension funds available through the Retirement Wealth Account. About this fund list There are three main fund ranges

More information

Top Rated Funds Review

Top Rated Funds Review Hargreaves Bestinvest Lansdown Top Rated Wealth150 Review Review Hargreaves Lansdown Wealth150 Review Introduction The is a popular list of funds promoted by Hargreaves Lansdown as a selection of the best

More information

INDIVIDUAL PENSION PLANS

INDIVIDUAL PENSION PLANS INDIVIDUAL PENSION PLANS FUND LIST NOVEMBER 07 This fund list details the funds available to all Phoenix Wealth individual personal pension plans (except Retirement Wealth Account policies not upgraded

More information

TRUSTEE INVESTMENT PLAN

TRUSTEE INVESTMENT PLAN TRUSTEE INVESTMENT PLAN FUND LIST JULY 08 This fund list details the funds available to the Trustee Investment Plan. Which funds can I access? The funds you can invest in are determined by the commencement

More information

Life funds series 5 Monthly performance update. For investments in the CanInvest Select Account

Life funds series 5 Monthly performance update. For investments in the CanInvest Select Account Life funds series Monthly performance update For investments in the CanInvest Select Account This monthly fund performance update is designed give you the latest past performance figures and information

More information

Individual Savings Account and Investment Account. Sterling panel funds guide

Individual Savings Account and Investment Account. Sterling panel funds guide Individual Savings Account and Investment Account Sterling panel funds guide 1 Contents Introduction 2 List of current investment funds by sector 4 Investment choice and flexibility 7 Fund risks 8 Managed

More information

INVESTMENT BOND. This fund list details the funds available through the Phoenix Wealth Investment Bond. FUND LIST

INVESTMENT BOND. This fund list details the funds available through the Phoenix Wealth Investment Bond. FUND LIST INVESTMENT BOND FUND LIST APRIL 2018 This fund list details the funds available through the Phoenix Wealth Investment Bond. About this fund list There are three main fund ranges within our offering, denoted

More information

This guide is for our:

This guide is for our: Fund Choice Guide Closed Funds Quarter 2 2018 2 This guide is for our: Policies taken out after January 2007 (Current product range) Policies taken out between February 1994 and January 2007 (Portfolio

More information

Fund volatility and performance

Fund volatility and performance Fund volatility and performance Our funds This guide provides you with details of the past performance and volatility figures for our fund range. These can be used to help you understand the investment

More information

Your investment choices and charges WPP Pension and Savings Plan

Your investment choices and charges WPP Pension and Savings Plan Your investment choices and charges WPP Pension and Plan This directory lists the Zurich Pension Funds available to you and the total charge for each as at August 2017. You can find details of each fund

More information

Pension funds series 5 Monthly performance update. For investments in the CanRetire Flexible Drawdown Plan and CanRetire Pension Investment Plan

Pension funds series 5 Monthly performance update. For investments in the CanRetire Flexible Drawdown Plan and CanRetire Pension Investment Plan Pension funds series Monthly performance update For investments in the CanRetire Flexible Drawdown Plan and CanRetire Pension Investment Plan This monthly fund performance update is designed give you the

More information

MANAGED PORTFOLIO SERVICE

MANAGED PORTFOLIO SERVICE MANAGED PORTFOLIO SERVICE Cautious February 218 The value of investments can fall and you may get back less than you invested. Past performance is not a guide to future performance. Any specific investments

More information

MANAGED PORTFOLIO SERVICE

MANAGED PORTFOLIO SERVICE MANAGED PORTFOLIO SERVICE Cautious November 217 The value of investments can fall and you may get back less than you invested. Past performance is not a guide to future performance. Any specific investments

More information

Fund Choice (Series 1)

Fund Choice (Series 1) For financial adviser use only. Not to be used with customers. Fund Choice (Series 1) May 2017 edition Available on Deferred Annuity Plans, standalone Trustee Plans and all SIPP contracts sold before May

More information

Kudos. Fund Performance Booklet. Performance Data. Risk Rating

Kudos. Fund Performance Booklet. Performance Data. Risk Rating Performance Data This booklet contains a number of different performance measures and time periods to help you assess the Kudos fund range. The data used to arrive at the figures shown is provided by Morningstar.

More information

Evaluating Scottish Widows Funds 1 July 2018

Evaluating Scottish Widows Funds 1 July 2018 Evaluating Scottish Widows 1 July 2018 This information is for UK Financial Advisers use only and should not be distributed to or relied upon by any other person. Contents Pension Statistics Life Statistics

More information

Evaluating Scottish Widows Funds 1 October 2018

Evaluating Scottish Widows Funds 1 October 2018 Evaluating Scottish Widows 1 October 2018 This information is for UK Financial Advisers use only and should not be distributed to or relied upon by any other person. Contents Pension Statistics Life Statistics

More information

Fund Guide. Prudential Investment Plan

Fund Guide. Prudential Investment Plan Fund Guide Prudential Investment Plan Contents 04 Funds that are open to new and existing investors 07 Information to read before making a decision 10 Funds that are only available to existing investors

More information

Kudos. Fund Performance Booklet. Performance Data. Risk Rating

Kudos. Fund Performance Booklet. Performance Data. Risk Rating Performance Data This booklet contains a number of different performance measures and time periods to help you assess the Kudos fund range. The data used to arrive at the figures shown is provided by Morningstar.

More information

MANAGED PORTFOLIO SERVICE

MANAGED PORTFOLIO SERVICE MANAGED PORTFOLIO SERVICE Cautious February 217 The value of investments can fall and you may get back less than you invested. Past performance is not a guide to future performance. Any specific investments

More information

OUR PENSION FUND RANGE INITIAL PRICE

OUR PENSION FUND RANGE INITIAL PRICE OUR PENSION FUND RANGE INITIAL PRICE JUNE 2018 CONTENTS 3 FUND STATISTICS IN OUR FUND RANGES 4 INDICATOR 6 CREATION FUNDS AND GENERATION FUNDS 7 FUND-SPECIFIC GROWTH RATES 8 INITIAL PRICE PENSION FUNDS

More information

Defensive Income Fund. Sterling ( ) Class B (Acc) Objective. Performance (%) Key Facts

Defensive Income Fund. Sterling ( ) Class B (Acc) Objective. Performance (%) Key Facts Fund Range Defensive Income Fund Sterling ( ) 30.06.2018 Objective The fund is actively managed and invests primarily in fixed interest, as well as defensive equities and alternative assets. The fund aims

More information

Short Fund Guide. Prudential Investment Plan

Short Fund Guide. Prudential Investment Plan Short Fund Guide Prudential Investment Plan Introduction This short fund guide gives you a list of funds you can choose from, an indication of the potential risk of each fund and information on fund charges.

More information

Fund Management Diary

Fund Management Diary Fund Management Diary Meeting held on 18 th December 2018 Macroeconomic Update The US equity market is an area of concern for us at the moment, the S&P 500 and the NASDAQ are currently experiencing sharp

More information

MANAGED PORTFOLIO SERVICE

MANAGED PORTFOLIO SERVICE MANAGED PORTFOLIO SERVICE Balanced Portfolio March 2018 The value of investments can fall and you may get back less than you invested. Past performance is not a guide to future performance. Any specific

More information

Bestinvest Top Rated Funds Review

Bestinvest Top Rated Funds Review Bestinvest Top Rated Funds Review Bestinvest Top Rated Funds Review Introduction To cater to those seeking investment inspiration online investment service Bestinvest, publish their Premier selection or

More information

Our Packaged Fund Range

Our Packaged Fund Range For customers Our Packaged Fund Range Our Packaged Fund Range allows you choice when building your portfolio with your adviser, while still offering the comfort of full governance. The charges listed below

More information

MANAGED PORTFOLIO SERVICE

MANAGED PORTFOLIO SERVICE MANAGED PORTFOLIO SERVICE Cautious May 218 The value of investments can fall and you may get back less than you invested. Past performance is not a guide to future performance. Any specific investments

More information

DEFENSIVE MODEL PORTFOLIO

DEFENSIVE MODEL PORTFOLIO DEFENSIVE OBJECTIVE This portfolio is designed for investors who are only prepared to accept very limited risk to capital from investing in financial markets and are therefore more willing to accept a

More information

MM Navigator Return Focused Range MM Lifestyle Risk Targeted Range

MM Navigator Return Focused Range MM Lifestyle Risk Targeted Range CM15588 UK For professional investors only MM Navigator Return Focused Range MM Lifestyle Risk Targeted Range July 2018 Investment risks The value of investments and income derived from them can go down

More information

Aviva Investors UK Funds Multi-Manager Flexible (Class 1 Acc [GBP])

Aviva Investors UK Funds Multi-Manager Flexible (Class 1 Acc [GBP]) Aviva Investors UK Funds Multi-Manager Flexible (Class 1 Acc [GBP]) Benchmark Benchmark IA Flexible Investment IA sector Flexible Investment Identification Codes Sedol code B1N9516 Mex code NUNGF1 ISIN

More information

MANAGED PORTFOLIO SERVICE

MANAGED PORTFOLIO SERVICE MANAGED PORTFOLIO SERVICE Cautious January 17 The value of investments can fall and you may get back less than you invested. Past performance is not a guide to future performance. Any specific investments

More information

MANAGED FUNDS SERVICE

MANAGED FUNDS SERVICE MANAGED FUNDS SERVICE Cautious Portfolio December 214 The value of investments can fall and you may get back less than you invested. Past performance is not a guide to future performance. Any specific

More information

Pension Investments (Series 2 & 3)

Pension Investments (Series 2 & 3) For financial adviser use only. Not to be used with customers. Pension s (Series 2 & 3) All available through our Flexible Transitions Account July 2018 edition From the LV= Value range Asia Pacific excluding

More information

Fund Management Diary

Fund Management Diary Fund Management Diary Meeting held on 19 th March 2019 Macroeconomic Update There have been reports that the summit aimed at finalising the agreement between the US and China is now expected to be moved

More information

Defensive Income Fund

Defensive Income Fund Defensive Income Fund Data as at 31.07.16 Fund facts Fund Managers: Alignment to risk profiling tools: Jonathan Webster-Smith Mark Shields Jim Mackie Fund overview The fund is actively managed and invests

More information

Adviser Guide to Investment Options and Fund Choice

Adviser Guide to Investment Options and Fund Choice For Adviser use only not approved for use with clients Adviser Guide Adviser Guide to Investment Options and Fund Choice Including: Life Funds Pension Funds Prudential International Funds Collective Funds

More information

IFSL Brooks Macdonald Balanced Fund ( ) IA Mixed Investment 40-85% Shares

IFSL Brooks Macdonald Balanced Fund ( ) IA Mixed Investment 40-85% Shares Fund Range Balanced Fund Sterling ( ) 30.04.2018 Objective The fund is actively managed and invests primarily in a variety of collective investment schemes that include significant UK and international

More information

MANAGED PORTFOLIO FUNDS SERVICE MANAGED PORTFOLIO SERVICE

MANAGED PORTFOLIO FUNDS SERVICE MANAGED PORTFOLIO SERVICE MANAGED PORTFOLIO FUNDS SERVICE MANAGED PORTFOLIO SERVICE Cautious Portfolio March 2016 The value of investments can fall and you may get back less than you invested. Past performance is not a guide to

More information

MPS High Risk Portfolio Growth

MPS High Risk Portfolio Growth MPS High Risk Portfolio Growth 30.04.2018 Professional advisers Objective The objective of the portfolio is to grow its value, primarily by investing in equity markets. Equity exposure is likely to range

More information

Flexible Investment Plan

Flexible Investment Plan Flexible Investment Plan Short Fund Guide Introduction This short fund guide gives you a list of funds you can choose from, an indication of the potential reward and risk of each fund and information on

More information

Preference. Fund Performance Booklet. Performance Data. Risk Rating

Preference. Fund Performance Booklet. Performance Data. Risk Rating Performance Data This booklet contains a number of different performance measures and time periods to help you assess the Preference fund range. The data used to arrive at the figures shown is provided

More information

Preference. Fund Performance Booklet. Performance Data. Risk Rating

Preference. Fund Performance Booklet. Performance Data. Risk Rating Performance Data This booklet contains a number of different performance measures and time periods to help you assess the Preference fund range. The data used to arrive at the figures shown is provided

More information

OBC.Batch.Seq.No:UK. Mrs Jane Emma Smith 3 The Street The Road The Town The Post Code. Fidelity Wealth PORTFOLIO REPORT

OBC.Batch.Seq.No:UK. Mrs Jane Emma Smith 3 The Street The Road The Town The Post Code. Fidelity Wealth PORTFOLIO REPORT OBC.Batch.Seq.No:UK Mrs Jane Emma Smith 3 The Street The Road The Town The Post Code Fidelity Wealth PORTFOLIO REPORT 1 January 2018 to 31 March 2018 How to get in touch Please contact your relationship

More information

Adviser Guide to Investment Options and Fund Choice

Adviser Guide to Investment Options and Fund Choice For Adviser use only not approved for use with clients Adviser Guide Adviser Guide to Investment Options and Fund Choice Including: Life Funds Pension Funds Prudential International Funds Collective Funds

More information

MANAGED PORTFOLIO SERVICE

MANAGED PORTFOLIO SERVICE MANAGED PORTFOLIO SERVICE Cautious Portfolio August 21 August 21 1 Mth 3 YTD 1 Yr 2 Yr 3 Yr 5 Yr 215 214 213 212 211 21 29 Cautious Portfolio 1.7 7.2 1. 9.1 12.1 15.8 2.3 47.5 2.5 9.2 5.8 1.9 2.9 9.3 11.8

More information

G u i d e d A r c h i t e c t u r e f u n d l i s t

G u i d e d A r c h i t e c t u r e f u n d l i s t Utmost Wealth Solutions is the brand name used by a number of Utmost companies. This item has been issued by Utmost Limited. G u i d e d A r c h i t e c t u r e f u n d l i s t A b o u t t h i s f u n

More information

MyFolio Multi Manager Range Report

MyFolio Multi Manager Range Report MyFolio Multi Manager Range Report Standard Life Investments has not considered the suitability of investment against your individual needs and risk tolerance. To ensure that you understand whether a financial

More information

Fund guide. Flexible Retirement Plan (Personal Pension and Income Drawdown with SIPP Options) Flexible Investment Plan

Fund guide. Flexible Retirement Plan (Personal Pension and Income Drawdown with SIPP Options) Flexible Investment Plan A Fund guide Flexible Retirement Plan (Personal Pension and Income Drawdown with SIPP Options) Flexible Investment Plan Introduction to this guide We know that choosing which fund may be best for you

More information

Pension Fund August 2018

Pension Fund August 2018 Pension Fund August 2018 Aviva Pension Janus Henderson Multi- Manager Global Select IE/XE This factsheet provides factual information only. The information shown should not be used in isolation for making

More information

Preference. Fund Performance Booklet. Performance Data. Risk Rating

Preference. Fund Performance Booklet. Performance Data. Risk Rating Performance Data This booklet contains a number of different performance measures and time periods to help you assess the fund range. The data used to arrive at the figures shown is provided by Morningstar.

More information

DEFENSIVE MODEL PORTFOLIO

DEFENSIVE MODEL PORTFOLIO DEFENSIVE MODEL PORTFOLIO 28th February 2018 OBJECTIVE This portfolio is designed for investors who are only prepared to accept very limited risk to capital from investing in financial markets and are

More information

Centralised Investment Proposition Model Portfolio 4 Key Investor Information / Simplified Prospectus

Centralised Investment Proposition Model Portfolio 4 Key Investor Information / Simplified Prospectus Centralised Investment Proposition Model Portfolio 4 Key Investor Information / Simplified Prospectus Company Name Fund Name % Invested Aberdeen UK Property Feeder 5 Artemis US Select 5 Blackrock Cash

More information

Investment alteration form

Investment alteration form Pru Flexible Retirement Plan (Personal Pension and Income Drawdown with SIPP options) Investment alteration form Please use black ink and write in CAPITAL LETTERS or tick as appropriate. Any corrections

More information

Consumer Price Index (CPI) 50:50 MSCI WMA Income TR/Base Rate

Consumer Price Index (CPI) 50:50 MSCI WMA Income TR/Base Rate Low Risk Portfolio Defensive Income 31.12.2017 Objective The primary objective of this portfolio is to produce a higher level of income than the Bank of England base rate over the longer term by investing

More information

shariah ACTIVELY MANAGED low cost ethical comparing Children s Individual Savings Accounts

shariah ACTIVELY MANAGED low cost ethical comparing Children s Individual Savings Accounts ACTIVELY MANAGED low cost shariah ethical comparing Children s Individual Savings ounts Provided by Embark Investment Services limited Updated October 2017 Actively Managed Whichever Children's ISA investment

More information

Pension Investments. All available through our Flexible Transitions Account July 2017 edition. From the LV= Investment Value range

Pension Investments. All available through our Flexible Transitions Account July 2017 edition. From the LV= Investment Value range For financial adviser use only. Not to be used with customers. Pension s All available through our Flexible Transitions Account July 2017 edition From the LV= Value range Asia Pacific excluding Japan Equities

More information

Prudential Investment Plan

Prudential Investment Plan Prudential Investment Plan Fund Guide Contents Funds that are open to new and existing investors 4 Information to read before making a decision 7 Funds that are only available to existing investors 10

More information

QUARTERLY INCOME PORTFOLIOS SANTANDER ASSET MANAGEMENT UK THE SANTANDER ATLAS THE SANTANDER ATLAS PORTFOLIOS FOR GROWTH AND INCOME

QUARTERLY INCOME PORTFOLIOS SANTANDER ASSET MANAGEMENT UK THE SANTANDER ATLAS THE SANTANDER ATLAS PORTFOLIOS FOR GROWTH AND INCOME SANTANDER ASSET MANAGEMENT UK ATLAS QUARTERLY GROWTH & UPDATE INCOME Q3 2017 PORTFOLIOS Q1 THE SANTANDER ATLAS 2018 GROWTH UPDATE PORTFOLIOS THE SANTANDER ATLAS PORTFOLIOS FOR GROWTH AND INCOME All information

More information

Fund Management Diary

Fund Management Diary Fund Management Diary Meeting held on 22 nd May 2018 How troubling is the rise in EM public debt? Emerging market debt, in aggregate, has risen to its highest share of gross domestic product since the

More information

Zurich Pensions. Fund charges and expenses

Zurich Pensions. Fund charges and expenses Zurich Pensions Fund charges and expenses This document lists which funds are available on your ex-allied Dunbar pension plan and the fund expenses that apply. Please read this document with your illustration

More information

Zurich Pensions. Fund charges and expenses

Zurich Pensions. Fund charges and expenses Zurich Pensions Fund charges and expenses This document lists which funds are available on your ex-allied Dunbar pension plan and the fund expenses that apply. Please read this document with your illustration

More information

Fund Management Diary

Fund Management Diary Fund Management Diary Meeting held on 12 th March 2019 Earnings to weigh on emerging market equities A slowdown in both the United States and Chinese economies will weigh heavily on export growth in the

More information

Progress Rail Services Group Personal Pension Plan. Choosing your own investment funds

Progress Rail Services Group Personal Pension Plan. Choosing your own investment funds Progress Rail Services Group Personal Pension Plan Choosing your own investment funds If you re considering making your own investment choice, there are some things you need to think about before you select

More information

IMPORTANT FUND INFORMATION.

IMPORTANT FUND INFORMATION. INVESTOR PORTFOLIO SERVICE (IPS) IMPORTANT FUND INFORMATION. NATIONWIDE (PANEL XN) This guide gives you further information about funds that were previously available and supports the Key Investor Information

More information

old mutual international IM

old mutual international IM All currencies (,,, ) All percentage growth calculated to 0/0/207 Performance % over one year to end June 207 June 207 Year Years 5 Years 20 205 204 20 202 AMC SFC Managed Solutions available in different

More information

Fund Management Diary

Fund Management Diary Fund Management Diary Meeting held on 20 th November 2018 Macroeconomic Update The downward cycle in bond markets continues. Equity markets also weakened last week, with the US and technology companies

More information

Defensive Income Fund

Defensive Income Fund Defensive Income Fund Data as at 31.05.16 Fund facts Fund Managers: Alignment to risk profiling tools: Jonathan Webster-Smith Mark Shields Jim Mackie Fund overview The fund is actively managed and invests

More information

old mutual international IM

old mutual international IM All currencies (,,, ) All percentage growth calculated to /08/207 Performance % over one year to end August 207 August 207 Year Years 5 Years 20 205 204 20 202 AMC SFC Managed Solutions available in different

More information

Fund Management Monthly Commentary

Fund Management Monthly Commentary Fund Management Monthly Commentary Covering the month of September 2018 September Market Update Margetts monthly diary summarises major economic and market developments that occur over the month. It is

More information

What are the changes to the funds available to me (UP960)?

What are the changes to the funds available to me (UP960)? What are the changes to the funds available to me (UP960)? The changes listed below will be made to the funds between July 2018 and the end of the year. We will update the information we have online with

More information

IMPORTANT FUND INFORMATION.

IMPORTANT FUND INFORMATION. INVESTOR PORTFOLIO SERVICE (IPS) IMPORTANT FUND INFORMATION. PANEL B This guide gives you further information about funds that were previously available and supports the Key Investor Information Document.

More information

INVESTMENT BULLETIN (PERFORMANCE INFORMATION ON SWIS AND CM FUNDS)

INVESTMENT BULLETIN (PERFORMANCE INFORMATION ON SWIS AND CM FUNDS) INVESTMENT BULLETIN (PERFORMANCE INFORMATION ON SWIS AND CM FUNDS) June 2018 MARKET INDICES Indices FTSE 100 TR 12.35 0.2 3.8 16.9 8.7 FTSE All Share TR 13.12 2.6 2.2 18.1 9.0 FTSE All World ex UK TR

More information

The Matalan Group Personal Pension Plan. Choosing your own investment funds

The Matalan Group Personal Pension Plan. Choosing your own investment funds The Matalan Group Personal Pension Plan Choosing your own investment If you're considering making your own investment choice, there are some things you need to think about before you select your own. This

More information