Scottish Equitable Select Reserve Life Fund

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Performance History30/04/2024
Growth of 1,000 (GBP) Advanced Graph
Scottish Equitable Select Reserve Life Fund
Fund1.8-2.8-19.22.3-2.4
+/-Sector-0.8-4.5-7.6-2.2-2.3
 
Key Stats
NAV
02/05/2024
 GBX 124.90
Day Change 0.39%
ABI Sector Mixed Investment 0%-35% Shares (Life)
ISIN GB00B07Q0P50
Fund Size (Mil)
-
 -
Share Class Size (Mil)
-
 -
Stakeholder No
*  This rating and report were issued for the underlying fund and not the insurance product. Fees of insurance products may be higher, which can negatively impact returns. Insurance products may also hold cash outside the underlying fund, which can strongly affect performance.
Investment Objective: Scottish Equitable Select Reserve Life Fund
This fund aims to provide a higher return than cash over the longer term with less fluctuation in value, by investing in fixed interest securities (bonds), property and cash.
Returns
Trailing Returns (GBP)02/05/2024
YTD-2.37
3 Years Annualised-6.44
5 Years Annualised-4.06
10 Years Annualised-0.38
12 Month Yield -
Management
Manager Name
Start Date
-
-
Inception Date
08/12/2004
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Category Benchmark
Fund BenchmarkMorningstar Benchmark
--
Target Market
Role In Portfolio
Standalone / CoreNot Specific
ComponentNot Specific
OtherNot Specific
Primary Objective
PreservationNot Specific
GrowthNot Specific
IncomeNot Specific
HedgingNot Specific
OtherNot Specific
Portfolio Profile for  Scottish Equitable Select Reserve Life Fund31/03/2024
Morningstar Style Box®
Equity Style
Morningstar Style Box®
Fixed Income Style
Asset Allocation
  % Long% Short% Net Assets
Stock0.000.000.00
Bond75.272.2872.99
Property0.000.000.00
Cash18.654.3814.27
Other12.740.0012.74
Fixed Income
Effective Maturity-
Effective Duration-
Top 5 Regions%
No Data Available
Top 5 Sectors%
No Data Available
Top 5 HoldingsSector%
SE UK Government Bd Life33.08
SE UK Extra Income Life31.72
SE Property Life18.33
SE Cash Life8.45
SE Index Linked Life8.42
Scottish Equitable Select Reserve Life Fund

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Fund prices are updated every weekday after the close of trading and before 11pm wherever possible. Performance figures are presented in British Sterling (GBP). Fund returns are based upon NAV to NAV or Bid to Bid on an income reinvested basis. UK-domiciled funds report after-tax dividends. Non-UK-domiciled funds report gross dividends. Pension funds report after-tax returns.
In order to provide consistency across the report data provided by different Asset Managers, the calculated data points presented are generated using Morningstar’s proprietary calculation methodology which is set out in more detail at(https://www.morningstar.com/research/signature)
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