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Scottish Widows Strategic Growth Portfolio B Acc (0P000014CF.L)

LSE - LSE Delayed price. Currency in GBp (0.01 GBP)
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278.00+0.10 (+0.04%)
As of 09:00PM BST. Market open.

Overall portfolio composition (%)

Cash16.34%
Stocks54.26%
Bonds6.96%
Others20.10%
Preferred0.03%
Convertible0.25%

Sector weightings (%)

Sector(s)
0P000014CF.L
Basic materials
6.87%
Consumer cyclical
11.55%
Financial services
16.41%
Property
3.48%
Consumer defensive
9.56%
Healthcare
10.09%
Utilities
2.73%
Communication services
8.27%
Energy
5.66%
Industrials
10.41%
Technology
14.98%

Equity holdings

Average0P000014CF.LCategory average
Price/Earnings19.3316.29
Price/book2.181.94
Price/sales1.581.48
Price/Cash flow10.265.47
Median market cap51,061.8924,668.99
3-year earnings growth6.745.34

Bond holdings

Average0P000014CF.LCategory average
MaturityN/A3.05
DurationN/A3.73
Credit qualityN/AN/A

Bond ratings

Sector(s)0P000014CF.L
US government0.00%
AAA0.00%
AA0.00%
A0.00%
BBB0.00%
BB0.00%
B0.00%
Below B0.00%
Others0.00%

Top 10 holdings (90.21% of total assets)

NameSymbol% assets
Schroder Funds IcavN/A26.32%
Scottish Widows US Equity XN/A12.42%
ACS Climate Transition World Equity X0N/A9.37%
Halifax UK FTSE AllSh Idx Track IN/A8.37%
Scottish Widows UK AllShr Trkr XN/A6.80%
Schroder ISF Emerg Mkt Bd I Acc GBP HN/A5.75%
Scottish Widows Global Growth XN/A5.66%
Halifax Intl Gr IN/A5.64%
Scottish Widows Emerg Markets XN/A5.28%
Scottish Widows Fdmtl Idx Glbl Eq XN/A4.60%