Collectives

Unit Trust (NURS non-complex)

Go further with ESG investing as part of a diversified portfolio

Find out how we integrate ESG factors like climate change, social inequality and executive pay into these funds as part of our mission to create a better world through responsible investing.

ISINGB00BJ0M3875

Price

Fund aim

The Fund’s objective is to provide a combination of growth and income within a pre-determined risk profile. The Fund’s potential gains and losses are likely to be constrained by the aim to stay within the risk profile. The Fund also aims to explicitly incorporate social, environmental and governance considerations into the  investment strategy at both portfolio and security level.

Fund snapshot

  • The Fund belongs to the Future World product range which represents the Manager's conviction and framework for responsible investing.
  • What does it invest in? Invests directly and/or indirectly in a range of investments including bonds, shares in companies, money market instruments (such as treasury bills), cash, permitted deposits and to alternative asset classes (such as infrastructure). Typically has higher exposure to bonds than to company shares, relative to other funds in the Future World ESG Multi-Index Fund range with a higher risk profile.
  • How does it invest? Actively managed to stay within DT's risk profile 4. The fund is part of a range of risk profiled funds which are rated on a scale of 1 (least risky) to 10 (most risky). The Fund aims to invest at least 75% in other collective investment schemes or direct holdings which, in the Investment Manager’s view, can be considered ESG assets. Further information on ESG assets can be found in the Supplement.

Fund facts

Fund size£153.2m
Base currencyGBP
Fund launch date17 Apr 2019
DomicileUK
Share class launch17 Apr 2019
Historical yield2.3%
As at 31 Dec 2023

Costs

Initial charge0.00%
Ongoing charges figure0.36%
Dilution adjustment0.08% - round trip

Fund ratings

Performance

Performance for the I Acc unit class in GBP, launched on 17 April 2019. Source: Lipper. Performance assumes all fund charges have been taken and that all income generated by the investments, after deduction of tax, remains in the fund.
Past performance is not a reliable indicator of future performance. Markets could develop very differently in the future. It can help you to assess how the fund has been managed in the past. The tables and charts above shows the fund's performance as the percentage loss or gain per year over the last 10 years.
Share class launch date:17 Apr 2019
Share class launch date:17 Apr 2019
    Share class launch date:17 Apr 2019

    Portfolio breakdown

    As at 31 Dec 2023

    Top 10 holdings57.3%
    Rest of portfolio42.8%

    Top 10 holdings (%)

    L&G Future World ESG North America Index Fund10.0
    L&G Net Zero Global Corporate Bond Fund7.5
    L&G Future World ESG UK Equity Index Fund6.8
    L&G ESG UK Corporate Bonds ETF6.0
    L&G All Stocks Gilt Index Trust5.8
    L&G Global Inflation Linked Bond Index Fund5.0
    Cash (incl. liquidity funds)4.8
    L&G Future World ESG Emerging Markets Index Fund4.0
    L&G Future World ESG Japan Index Fund3.8
    US Treasury Inflation Linked 1.125 15/01/333.8

    All data source LGIM unless otherwise stated. Totals may not sum due to rounding.

    Fund managers

    Andrzej Pioch headshot

    Andrzej Pioch

    Andrzej 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 Chua headshot

    Francis Chua

    Francis is a fund manager in the Multi-Asset Funds team and assists in the management of the multi-index funds. Francis joined LGIM in October 2016 from Aviva where he was a senior investment analyst.

    Literature

    Prices

    Pricing information

    Price basisSingle swing
    Price time15:00 UK time
    CurrencyGBP
    Monthly price history

    Download full price history

    Codes and dealing

    Codes

    ISINGB00BJ0M3875
    SEDOLBJ0M387
    BloombergLGFW4IA LN
    MEXLGMNTC

    Dealing information

    Valuation frequencyDaily, 3pm (UK time)
    Dealing frequencyDaily
    Settlement periodT+4

    Country registration

    This share class is registered for sale in the following countries:

    United Kingdom