Portfolio yield
Data as at : 31/12/2024
% |
---|
2.5 |
Please note that the above fields are displayed for companies that have reported this data to the AIC. Where data is reported, it may be subject to valuation lags.
Top holdings
Data as at : 31/12/2024
Investment | % of total assets |
---|---|
Microsoft Corp | 5.4 |
Apple Inc | 4.6 |
Amazon.com Inc | 3.7 |
Broadcom Inc | 3.4 |
Alphabet Inc Class C | 3.0 |
Visa Inc Class A | 2.5 |
CME Group Inc Class A | 2.5 |
Bankers 1.67% Unsecured Loan Notes 03/08/2041 | -2.5 |
Bankers 2.28% Unsecured Loan Notes 03/08/2045 | -2.6 |
Bankers 3.68% Unsecured Loan Notes 27/05/2035 | -3.5 |
Geographic breakdown
Data as at : 31/12/2024
Country | % of total assets |
---|---|
USA | 59.2 |
Japan | 10.5 |
UK | 5.2 |
France | 4.2 |
Germany | 4.0 |
Switzerland | 1.8 |
India | 1.6 |
Taiwan | 1.5 |
China | 1.4 |
Netherlands | 1.4 |
South Korea | 1.0 |
Italy | 0.9 |
Denmark | 0.8 |
Australia | 0.8 |
Hong Kong | 0.8 |
Singapore | 0.6 |
Indonesia | 0.4 |
Belgium | 0.3 |
Spain | 0.2 |
Depending on the nature of the underlying asset classes, geographic breakdowns may not always add up to 100%.
Industry breakdown
Data as at : 31/12/2024
Industry | % of total assets |
---|---|
Technology | 29.1 |
Financial Services | 19.3 |
Consumer Cyclical | 12.7 |
Industrials | 11.1 |
Healthcare | 10.2 |
Communication Services | 7.4 |
Consumer Defensive | 4.6 |
Cash Equivalents | 3.7 |
Utilities | 3.5 |
Energy | 3.0 |
Real Estate | 2.7 |
Basic Materials | 1.2 |
Future Forward | 0.0 |
Bank Loan | -8.6 |
Asset breakdown
Data as at : 31/12/2024
Asset | % of total assets |
---|---|
Stock | 104.9 |
Bond | -8.6 |
Cash/Cash equivalents | 3.7 |
Detailed asset breakdown
Data as at : 31/12/2024
Asset | % of total assets |
---|---|
North America - stock | 64.3 |
Europe - Large-cap stock | 14.8 |
Japan - stock | 11.4 |
Asia (excl Japan) - stock | 8.8 |
Cash | 3.7 |
UK - Large value stock | 2.1 |
UK - Large growth stock | 1.3 |
UK - Mid core/growth stock | 1.3 |
Data provided by Morningstar.
Company documents provided by FE fundinfo.