Legal & General Multi-Index 6 Fund
Unit Trust (NURS non-complex)
Legal & General Multi-Index 6 Fund
I-Class GBP Accumulation
ISINGB00B95KML23
Price
ISINGB00B95KML23
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.
Fund snapshot
- What does it invest in? Invests in a risk-profile targeted range of index tracker funds and individual investments including property. Typically has at least 50% in company shares.
- How does it invest? Actively managed to stay within DT's risk profile 6, based on the historic performance of different asset types. 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).
Fund facts
Fund size | £1,543.4m |
Base currency | GBP |
Fund launch date | 21 Aug 2013 |
Domicile | UK |
Share class launch | 21 Aug 2013 |
Historical yield | 2.1% |
Costs
Initial charge | 0.00% |
Ongoing charges figure | 0.31% |
Dilution adjustment | 0.06% - round trip |
Performance
Portfolio breakdown
As at 31 Jan 2024
Top 10 holdings | 67.5% |
---|---|
Rest of portfolio | 32.5% |
Top 10 holdings (%)
L&G US Index Trust | 16.8 |
L&G UK Index Trust | 13.3 |
L&G European Index Trust | 7.8 |
L&G Global Emerging Markets Index Fund | 7.5 |
L&G Pacific Index Trust | 5.0 |
L&G Japan Index Trust | 4.5 |
US Treasury Inflation Linked 1.125 15/01/33 | 3.8 |
L&G Global Real Estate Dividend Index Fund | 3.5 |
L&G UK Mid Cap Index Fund | 3.0 |
L&G Frontier Markets Equity Fund | 2.5 |
Top 10 holdings | 67.5% |
---|---|
Rest of portfolio | 32.5% |
Top 10 holdings (%)
L&G US Index Trust | 16.8 |
L&G UK Index Trust | 13.3 |
L&G European Index Trust | 7.8 |
L&G Global Emerging Markets Index Fund | 7.5 |
L&G Pacific Index Trust | 5.0 |
L&G Japan Index Trust | 4.5 |
US Treasury Inflation Linked 1.125 15/01/33 | 3.8 |
L&G Global Real Estate Dividend Index Fund | 3.5 |
L&G UK Mid Cap Index Fund | 3.0 |
L&G Frontier Markets Equity Fund | 2.5 |
Asset allocation (%)
Equities | 65.0 |
Government Bonds | 13.8 |
Credit and Emerging Market Debt | 9.5 |
Alternatives | 10.0 |
Cash | 1.8 |
Equities (%)
North America Equity | 18.5 |
UK Equity | 15.8 |
Europe ex UK Equity | 8.8 |
Emerging Market Equity | 7.5 |
Asia Pacific ex Japan Equity | 5.0 |
Japan Equity | 4.5 |
Small-cap Equity | 2.5 |
Frontier Market Equity | 2.5 |
Government bonds (%)
Global Inflation-Linked Bonds | 5.5 |
Developed Market Government Bonds (ex UK) | 4.5 |
Gilts | 3.8 |
Credit and emerging market debt (%)
Global High Yield | 2.5 |
Emerging Market Bonds (Hard Currency) | 2.0 |
UK Corporate Bonds | 1.8 |
Emerging Market Bonds (Local) | 1.5 |
Global Corporate Bonds | 1.3 |
UK Short Duration Corporate Bonds | 0.5 |
Alternatives (%)
Real Estate Investment Trusts | 3.5 |
Alternatives Thematic | 1.8 |
Commodities | 1.5 |
Listed Infrastructure | 1.3 |
UK Property | 1.0 |
Forestry | 1.0 |
All data source LGIM unless otherwise stated. Totals may not sum due to rounding.
Fund managers
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
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
Document type
Prices
Pricing information
Price basis | Single swing |
Price time | 15:00 UK time |
Currency | GBP |
Download full price history
Codes and dealing
Codes
ISIN | GB00B95KML23 |
SEDOL | B95KML2 |
Bloomberg | LGMI6IA LN |
MEX | LGNEXI |
Dealing information
Valuation frequency | Daily, 3pm (UK time) |
Dealing frequency | Daily |
Settlement period | T+4 |
Country registration
This share class is registered for sale in the following countries: