Unit Trust (UK UCITS compliant)

Legal & General Global 100 Index Trust

Fund facts

Fund size
£461.8m
Base currency
GBP
Launch date
4 Nov 2002
Domicile
UK
Share class launch

Statistics

Historical yield
1.5%

As at 31 Oct 2021

Fund aim

The objective of the Fund is to provide growth by tracking the capital performance of the S&P Global 100 Index (the “Index”). This objective is after the deduction of charges and taxation.

Benchmark

S&P Global 100 Index

Sector

IA Global

  • What does it invest in? Invests in the shares of 100 companies of major importance across all geographical areas, as represented by the Index.
  • How does it invest? Passively managed, aiming to replicate the performance of the Index.

Further details

Costs

Price basis
Single swing
Initial charge
0.00%
Ongoing charges figure
0.14%
Dilution adjustment
0.14% - round trip

Codes

ISIN
GB00B0CNH056
SEDOL
B0CNH05
Bloomberg
LGGIDIA
MEX
LGGTIA

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:

Fund updates

Performance

Source: Lipper

Performance (%)
Select period:
Change

    Performance summary (%)

    As at 31 Oct 2021

    CumulativeFundBenchmark
    1 month2.264.54
    6 months9.5611.64
    Year to date19.0521.23
    3 years59.9364.84
    5 years98.28106.96
    Since launch360.33-
    AnnualisedFundBenchmark
    1 year32.4133.81
    3 years16.9318.11
    5 years14.6615.65
    Since launch10.09-

    As at 30 Sep 2021

    CumulativeFundBenchmark
    Quarterly4.082.97
    Year to date16.4215.97
    3 years49.9751.17
    5 years106.03108.72
    Since launch350.17-
    AnnualisedFundBenchmark
    1 year24.3023.91
    3 years14.4514.75
    5 years15.5415.84
    Since launch9.99-
    Rolling 12-month performance
    Calendar year performance
    Monthly performance
    Annualised performance

    Rolling 12-month performance to last quarter end (%)

    12 months to 30 September 2017 2018 2019 2020 2021
    Fund17.3917.029.1610.5324.30
    Benchmark17.5017.509.9610.9523.91

    Calendar year performance (%)

    2016 2017 2018 2019 2020
    Fund30.0012.61-1.3525.7015.14
    Benchmark30.3613.420.2525.3315.69

    Monthly performance (%)

    Annualised performance (%)

    1 year3 years5 yearsSince launch
    Fund32.4116.9314.6610.09
    Benchmark33.8118.1115.65-

    Annualised performance (%)

    1 year3 years5 yearsSince launch
    Fund24.3014.4515.549.99
    Benchmark23.9114.7515.84-

    Performance for the C Acc unit class in GBP, launched on 09 December 2013. 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. Please note, the benchmark is priced at the close whereas the fund is priced earlier. This can lead to artificially high tracking difference. Please see the fact sheet for gross tracking difference with both fund and index on a closed-price basis.

    Past performance is not a guide to the future.

    Performance for the C Inc unit class in GBP, launched on 09 December 2013. 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. Please note, the benchmark is priced at the close whereas the fund is priced earlier. This can lead to artificially high tracking difference. Please see the fact sheet for gross tracking difference with both fund and index on a closed-price basis.

    Past performance is not a guide to the future.

    Performance for the F Acc unit class in GBP, launched on 20 December 2012. 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. Please note, the benchmark is priced at the close whereas the fund is priced earlier. This can lead to artificially high tracking difference. Please see the fact sheet for gross tracking difference with both fund and index on a closed-price basis.

    Past performance is not a guide to the future.

    Performance for the F Inc unit class in GBP, launched on 20 December 2012. 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. Please note, the benchmark is priced at the close whereas the fund is priced earlier. This can lead to artificially high tracking difference. Please see the fact sheet for gross tracking difference with both fund and index on a closed-price basis.

    Past performance is not a guide to the future.

    Performance for the I Acc unit class in GBP, launched on 15 December 2005. 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. Please note, the benchmark is priced at the close whereas the fund is priced earlier. This can lead to artificially high tracking difference. Please see the fact sheet for gross tracking difference with both fund and index on a closed-price basis.

    Past performance is not a guide to the future.

    Performance for the I Inc unit class in GBP, launched on 26 August 2005. 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. Please note, the benchmark is priced at the close whereas the fund is priced earlier. This can lead to artificially high tracking difference. Please see the fact sheet for gross tracking difference with both fund and index on a closed-price basis.

    Past performance is not a guide to the future.

    Performance for the L Acc unit class in GBP, launched on 25 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. Please note, the benchmark is priced at the close whereas the fund is priced earlier. This can lead to artificially high tracking difference. Please see the fact sheet for gross tracking difference with both fund and index on a closed-price basis.

    Past performance is not a guide to the future.

    Performance for the R Acc unit class in GBP, launched on 04 November 2002. 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. Please note, the benchmark is priced at the close whereas the fund is priced earlier. This can lead to artificially high tracking difference. Please see the fact sheet for gross tracking difference with both fund and index on a closed-price basis.

    Past performance is not a guide to the future.

    Performance for the R Inc unit class in GBP, launched on 04 November 2002. 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. Please note, the benchmark is priced at the close whereas the fund is priced earlier. This can lead to artificially high tracking difference. Please see the fact sheet for gross tracking difference with both fund and index on a closed-price basis.

    Past performance is not a guide to the future.

    Portfolio

    As at 31 Oct 2021. All data source LGIM unless otherwise stated. Totals may not sum due to rounding. In order to minimise transaction costs, the Fund will not always own all the assets that constitute the index and on occasion it will own assets that are not in the index.

    Sector (%)

    Information Technology29.6
    Consumer Discretionary14.2
    Health Care11.8
    Consumer Staples10.7
    Financials10.5
    Communication Services9.8
    Industrials5.5
    Energy4.8
    Materials1.6
    Other1.4

    Market capitalisation (%)

    Large99.7
    Mid0.3
    Top 10 holdings52.0
    Rest of portfolio48.0
    No. of holdings in fund107
    No. of holdings in index103

    Top 10 holdings (%)

    Microsoft Corp12.9
    Apple Inc12.2
    Amazon.Com Inc7.6
    Alphabet Cl A4.6
    Alphabet Cl C4.3
    JPMorgan Chase & Co2.7
    Johnson & Johnson2.2
    Nestle1.9
    Procter & Gamble Company1.8
    Samsung Electronics Co Ltd1.6

    Country (%)

    United States73.4
    United Kingdom6.9
    Switzerland5.5
    France4.4
    Japan3.3
    Germany3.3
    Korea1.6
    Spain0.8
    Netherlands0.5
    Australia0.4

    Management Team

    The Index Fund Management team comprises 25 fund managers, supported by two analysts. Management oversight is provided by the Global Head of Index Funds. The team has average industry experience of 15 years, of which seven years has been at LGIM, and is focused on achieving the equally important objectives of close tracking and maximising returns.

    LGIMIndex Fund Management Team

    Literature

    Income

    Latest dividends

    The latest dividends are shown below. The historic level of income generated by this fund may go down as well up and will vary over time.

    of

    Dividend history

    Total dividends paid in each financial year of the fund.

    Prices

    Name
    I GBP Acc
    Price
    289.10p
    Change (%)
    0.8
    Currency
    GBP
    Price time
    15:00 UK time
    Name
    I GBP Inc
    Price
    192.60p
    Change (%)
    0.78
    Currency
    GBP
    Price time
    15:00 UK time
    Name
    F GBP Acc
    Price
    269.50p
    Change (%)
    0.79
    Currency
    GBP
    Price time
    15:00 UK time
    Name
    F GBP Inc
    Price
    193.00p
    Change (%)
    0.78
    Currency
    GBP
    Price time
    15:00 UK time
    Name
    R GBP Acc
    Price
    258.10p
    Change (%)
    0.82
    Currency
    GBP
    Price time
    15:00 UK time
    Name
    R GBP Inc
    Price
    192.30p
    Change (%)
    0.79
    Currency
    GBP
    Price time
    15:00 UK time
    Name
    C GBP Acc
    Price
    290.10p
    Change (%)
    0.8
    Currency
    GBP
    Price time
    15:00 UK time
    Name
    C GBP Inc
    Price
    192.60p
    Change (%)
    0.84
    Currency
    GBP
    Price time
    15:00 UK time
    Name
    L GBP Acc
    Price
    78.73p
    Change (%)
    0.81
    Currency
    GBP
    Price time
    15:00 UK time

    A single swing price is displayed from 1st December 2020. Prior to this date, Bid and Offer prices are displayed for those funds that were previously dual priced.

    For valuations and account queries contact:

    Legal & General (Unit Trust Managers) Limited
    PO Box 6080
    Wolverhampton
    WV1 9RB
    Tel : 0370 050 0955
    Email: [email protected]

    Legal & General ICAV
    LGIM Liquidity Funds Plc

    Northern Trust International Fund Administration Services (Ireland) Limited
    City East Plaza - Block A
    Towlerton
    Ballysimon Road
    Limerick
    Ireland
    V94 X2N9
    Fax: +353 1 434 5293
    Telephone: +353 1 434 5080
    Email: [email protected]

    Legal & General SICAV
    Northern Trust Global Services SE
    6 rue Lou Hemmer
    L-1748 Senningerberg
    Grand-Duché de Luxembourg
    Facsimile: +352 276 222 150
    Telephone: +352 276 222 514
    Email: [email protected]

    Key risks

    The value of an investment and any income taken from it is not guaranteed and can go down as well as up, you may not get back the amount you originally invested.

    Past performance is no guarantee of future results.

    The fund could lose money if any institution providing services such as acting as counterparty to derivatives or other instruments, becomes unwilling or unable to meet its obligations to the fund.

    Derivatives are highly sensitive to changes in the value of the asset on which they are based and can increase the size of losses and gains.

    The fund may have underlying investments that are valued in currencies that are different from sterling (British pounds). Exchange rate fluctuations will impact the value of your investment. Currency hedging techniques may be applied to reduce this impact but may not entirely eliminate it.

    Important information

    This information is intended for investment professionals only and is for information purposes only. It should not be distributed without our permission.

    No investment decisions should be made without first reviewing the key investor information document and prospectus (and any supplements thereto) of the relevant product which includes information on certain risks associated with an investment.

    Unless otherwise agreed in writing, the Information on this website (a) is for information purposes only and we are not soliciting any action based on it, and (b) is not a recommendation to buy or sell securities or pursue a particular investment strategy; and (c) is not investment, legal, regulatory or tax advice. Any trading or investment decisions taken by you should be based on your own analysis and judgment (and/or that of your professional advisers) and not in reliance on us or the Information.

    This information is only directed at investors resident in jurisdictions where each fund is registered for sale. It is not an offer or invitation to persons outside of those jurisdictions. We reserve the right to reject any applications from outside of such jurisdictions.

    All information detailed on this website is current at the time of publication and may be changed in the future.

    Source and third party data

    Source: Unless otherwise indicated all data contained on this website is sourced from Legal & General Investment Management Limited.

    Where this document contains third party data ('Third Party Data’), we cannot guarantee the accuracy, completeness or reliability of such Third Party Data and accept no responsibility or liability whatsoever in respect of such Third Party Data

    Issuer

    Issued by Legal & General Investment Management Limited as promoter and distributor for this fund in the UK.

    Legal & General Investment Management Limited has been appointed as the discretionary investment manager for these Funds and is Registered in England and Wales No. 02091894. Registered Office: One Coleman Street, London, EC2R 5AA, United Kingdom. Authorised and regulated by the Financial Conduct Authority, No. 119272.

    Index disclaimer

    The S&P Global 100 Index is a product of S&P Dow Jones Indices LLC, a division of S&P Global, or its affiliates (“SPDJI”) and any associated third party licensors, and has been licensed for use by Legal & General Investment Management (“LGIM”). Standard & Poor’s® and S&P® are registered trademarks of Standard & Poor’s Financial Services LLC, a division of S&P Global (“S&P”); Dow Jones® is a registered trademark of Dow Jones Trademark Holdings LLC (“Dow Jones”); Any third party licensor trademarks are trademarks of the third party licensor and these trademarks have been licensed for use by SPDJI and sublicensed for certain purposes by LGIM. LGIM’s product, or that of its affiliates, is not sponsored, endorsed, sold or promoted by SPDJI, Dow Jones, S&P, their respective affiliates, or the third party licensor and none of such parties make any representation regarding the advisability of investing in such product(s) nor do they have any liability for any errors, omissions, or interruptions of the index.