L&G Multi-Index 4 I Acc

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Trading AccountISAJISASIPP

Fund Info

  • Yield History1.64%
  • 3 Year sharpe0.69
  • 3 Year alpha-0.87
  • Distribution Typeaccumulation
  • BenchmarkNot Benchmarked
  • Legal StructureUnit Trust
  • Fund Size (month end)Unit Trust
  • OCF0.32%
  • IA SectorVolatility Managed
  • Manager GroupLegal & General
  • DomicileUnited Kingdom
  • ISINGB00B88Y0217

Investment Strategy

The objective of the Fund 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 objective to remain within the risk profile. The Fund is actively managed and will have exposure to bonds (both government and non-government), shares in companies, money market instruments (such as treasury bills), cash, permitted deposits and indirectly to alternative asset classes (such as commodities) and property. Due to the risk profile, the intention is that the Fund will typically have higher exposure to bonds, money market instruments and cash than to shares in companies relative to other funds in the Legal & General Multi-Index Funds range with a higher risk profile. However, the aggregate exposure to shares in companies may still be material.

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