F&C MONEY MARKETS 1 - Portfolio
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Find rated money market funds
Asset allocation
| Allocation |
Proportion |
|
|
Equity |
–
|
|
High yield bonds |
–
|
|
Quality bonds |
–
|
|
Property |
–
|
|
Commodities |
–
|
|
Hedge |
–
|
|
Fund cash |
100%
|
Top 10 holdings
As at: 31/12/2011
12.3% Uk Treasury
6.7% Bnp Paribas
6% Lloyds Bank Plc
5% Credit Agricole
4.5% Bank Of Montreal
4.3% Abbey
2.9% Deutsche Bank
2.2% Nordea Bank
2.2% Queensland Treasury Corp
2.2% Rabobank
Source: Trustnet
Equity by sector
|
Commercial Paper
|
37%
|
|
Call Deposit
|
27%
|
|
Certificates of Deposit
|
24%
|
|
Government Bills
|
12%
|
As at: 31/12/2011
100% Money Market
100% Money Market
Source: Trustnet
Portfolio details
No information available.
Constraints
No information available.