WebMar 1, 2024 · 3.82%. Other. 9.71%. Sector and region weightings are calculated using only long position holdings of the portfolio. The performance data shown in tables and graphs … WebInvests primarily in funds, with between 0% and 35% underlying exposure to company shares and the remainder in bonds and other investments including property. How does it invest? Actively managed, with no more than 35% exposure to company shares and at least 45% to bonds and money market instruments with an investment grade (lower risk) credit ...
LV= L&G Multi-Index 6 S3 Pension Fund - markets.ft.com
WebL O W M E D I U M H I G H 81.92% 18.08% Portfolio % Money Market 18.1 Obl Bk.I Telkom Thp I 2015 Seri B 7.3 Obl Bk.II Bank BRI Thp II 2024 Seri D 7.2 Obl Bk.II Bank Mandiri Thp I 2024 Seri B 9.9 Obl Bk.II Sarana Multi Infra. Thp I 2024 C 6.9 Obl Sub Bk. I Bank UOB Indonesia Thp II 2024 6.9 WebAndrzej is a Fund Manager in the Multi-Asset Funds team with responsibilities covering the portfolio management and ongoing development of both institutional and retail multi … scn america tinley park
Fund Centre Legal & General Multi-Index 6 Fund
WebNet ongoing charge : 0.31%. There are other unit types of this fund available: Class I - Income (GBP) (Net ongoing charge 0.31%) Non-taxpayer. Basic rate taxpayer. Higher rate … WebAndrzej is a Fund Manager in the Multi-Asset Funds team with responsibilities covering the portfolio management and ongoing development of both institutional and retail multi-asset funds. Prior to joining LGIM in July 2014, he was a Fund Manager at Aviva Investors. Francis is a fund manager in the Multi-Asset Funds team and assists in the ... WebThe latest fund information for LV= L&G Multi-Index 6 Pn S3, including fund prices, fund performance, ratings, analysis, asset allocation, ratios & fund manager information. scn anst