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IFSL BESTINVEST INCOME PORTFOLIO I - Portfolio

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Asset allocation

ifsl bestinvest income portfolio i asset allocation illustration
Allocation Proportion
Equity 36%
High yield bonds 14%
Quality bonds 23%
Property 6%
Commodities 3%
Hedge 9%
Fund cash 9%

Equity Geographic

ifsl bestinvest income portfolio i equity geographic illustration
Allocation Proportion
UK 56%
Europe 10%
Nth America 15%
Japan 6%
Pacific 12%
Other Equity 1%

Equity Capitalisation

ifsl bestinvest income portfolio i equity capitalisation illustration
Allocation Proportion
Large Caps 74%
Mid Caps 20%
Small Caps 6%

Top 10 holdings

As at: 30/04/2012
7.6% Threadneedle UK Equity Income
7.0% Artemis Income
6.6% Kames Strategic Bond
6.0% M&G Optimal Income
5.7% BlackRock UK Income
4.6% AXA US Short Duration HY GBP
4.4% Newton Asian Income
4.3% Muzinich EnhancedYield ST GBP
4.1% Invesco Perpetual Tactical Bond
4.0% Legal & General Dynamic Bond
Source: Bestinvest

Equity by sector

No data available.

As at: 30/04/2012
23% Quality Bonds
20% UK Equities
14% High Yield Bonds
9% Hedge
8% Cash
6% Property
5% North American Equities
4% European Equities
4% Pacific Equities
3% Commodities
Source: Bestinvest

Portfolio details


The fund has a higher exposure to fixed interest than the model for growth investors, although it is not restricted in its choice of asset category.
Fund volatility as well as asset allocation and geographical/capitalisation split of equities relative to the Asset Model is continually monitored to ensure that there is not a wide divergence relative to the in-house rules.
The fund's equity component is always likely to have above average exposure to small & mid cap stocks.

Constraints


There are some limits placed on the portfolio but these could result in significant divergences from the benchmark from time to time.

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.

Bestinvest (Brokers) Ltd & Bestinvest (Consultants) Ltd are authorised and regulated by the Financial Services Authority. This site is for UK Investors only

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