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BAILLIE GIFFORD AMERICAN A - Portfolio

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Asset allocation

baillie gifford american a asset allocation illustration
Allocation Proportion
Equity 94%
High yield bonds 0%
Quality bonds 0%
Property 0%
Commodities 0%
Hedge 0%
Fund cash 6%

Equity Geographic

baillie gifford american a equity geographic illustration
Allocation Proportion
UK 0%
Europe 0%
Nth America 100%
Japan 0%
Pacific 0%
Other Equity 0%

Equity Capitalisation

baillie gifford american a equity capitalisation illustration
Allocation Proportion
Large Caps 71%
Mid Caps 27%
Small Caps 2%

Top 10 holdings

As at: 29/02/2012
8.4% Apple Inc
4.5% F5 Network Inc
4.4% Home Depot Inc
4% Progressive Corp(ohio)
3.6% Monsanto Co
3.4% Oracle Corp
3.4% Ebay Inc
3.4% Bed Bath And Beyond
3.4% Apache Corp
3.4% O Reilly Automotive Inc
Source: Trustnet

Equity by sector

Information Technology 24%
Consumer Discretionary 17%
Financials 14%
Energy 11%
Consumer Staples 10%
Health Care 10%
Industrials 7%
Materials 5%
Money Market 3%

As at: 29/02/2012
96.7% USA
3.3% Money Market
Source: Trustnet

Portfolio details


A concentrated portfolio of 40-50 stocks.

Constraints


Maximum stock and sector bets relative to the S&P 500 are +/-5% and +/-10% respectively. Tracking error target is 4-8%.
The portfolio usually has very little commonality with the benchmark and so performance can be expected to differ markedly on occasions.

The value of your investments and the income from them can go down as well as up, and you can get back less than you originally invested. Past performance or any yields quoted should not be considered reliable indicators of future returns. Before investing in funds please check the specific risk factors on the key features document or refer to our risk warning notice as some funds can be high risk or complex; they may also have risks relating to the geographical area, industry sector and/or underlying assets in which they invest. Prevailing tax rates and relief are dependent on your individual circumstances and are subject to change.

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