PMCs

Unit-Linked Life Insurance

UK Fixed Interest - All Stocks - Fund

Fund aim

The fund aims to exceed the FTSE Actuaries UK Conventional Gilts All Stocks Index by 0.75% p.a. (before fees) over a three year rolling period.

Fund characteristics

The fund predominately invests in UK Government fixed interest securities. It may also invest in corporate bonds, other fixed interest securities and index linked bonds. Investments may include UK and overseas assets (with currency exposure hedged back to sterling). It can hold cash and may invest in money market products. The fund has the ability to use derivatives for efficient portfolio management. The fund has a duration of up to +/- 1.5 years relative to its benchmark and a maximum tracking error of 1.5%.

Fund facts

Fund size£449.0m
Base currencyGBP
DomicileUnited Kingdom
Share class launch07/06/71
Modified duration8.62 years
Gross redemption yield (unhedged)3.60%
As at 31 Dec 2023

Benchmark

FTSE Actuaries UK Conventional Gilts All Stocks Index

Performance

Source: LGIM. Performance is reported in GBP based on weekly mid-market prices before the deduction of fees.
Past performance is not a guide to future performance and the value of investments can go down as well as up.
Share class launch date:07 Jun 1971
Benchmark:FTSE Actuaries UK Conventional Gilts All Stocks Index
Share class launch date:07 Jun 1971
Benchmark:FTSE Actuaries UK Conventional Gilts All Stocks Index
    Share class launch date:07 Jun 1971
    Benchmark:FTSE Actuaries UK Conventional Gilts All Stocks Index

    Portfolio breakdown

    As at 31 Dec 2023

    Top 10 issuers95.4%
    Rest of portfolio4.6%
    No. of issuers8

    Top 10 issuers (%)

    United Kingdom76.3
    Kingdom of Spain7.9
    Federal Republic of Germany4.3
    United States of America3.4
    Province of Ontario Canada1.5
    Siemens1.3
    Majority Midco Sarl0.7

    Currency (%)

    GBP
    100.0
    NZD
    0.1
    EUR
    0.1
    USD
    0.0
    SEK
    0.0
    AUD
    0.0
    CAD
    0.0
    JPY
    -0.3

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

    Fund managers

    Simon Bell headshot

    Simon Bell

    Simon is a portfolio manager within the Active Liability Solutions team where he is responsible for the management of a number of global rates portfolios. Simon joined LGIM in March 2012. Previously, Simon was at Aberdeen Asset Management where he was a portfolio manager in both the Global Macro team and the European Product team for four years. Simon graduated from Bournemouth University with a BA (hons) in financial services and holds the Investment Management Certificate.

    Literature

    Prices

    Units can be purchased, sold or switched on a designated dealing day. This fund is offered on a weekly close, daily close, or daily midday basis. Further information is available in the relevant operational procedures sheet and the Description of Funds.

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    Monthly price history

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    Please note that a maximum of 10 years price history is available.