Schroder Managed Wealth Portfolio Z Inc (FUND:B7134X7) - Fund price


Fund Report

Schroder Managed Wealth Portfolio Z Income

Key Stats
Morningstar® CategoryGBP Flexible Allocation
Manager Name-
Inception Date13/08/2012
NAV 24/06/2019GBX 68.73
Day Change0.01%
12 Month Yield1.17%
ISINGB00B7134X76
SEDOLB7134X7
Dividend FrequencyAnnually
Net Assets (mil) 30/04/2019243.93 GBP
Wrapper AvailabilityAll
Our Minimum Initial Investment1.00 Share
Pricing FrequencyDaily
Dealing Cut off Time11:00:00
Regular InvestmentYes
Actual Initial Charge0.00%
Exit Charge-
Custody ChargeYes
Ongoing Cost1.32%
AMC0.75%
Fund Rebate-

Morningstar Rating™

4 Stars

Morningstar Sustainability Rating

No Rating

No Rating


Sustainability Rating as of -

Benchmarks

Fund Benchmark

Not Benchmarked

Morningstar® Benchmark

Morningstar UK Moderate

Growth Of 10,000 (GBP) 31/05/2019

How has this security performed
201420152016201720182019
Fund4.421.4914.605.55-5.135.52
Category4.410.3014.498.00-7.225.44
Benchmark8.951.8618.926.76-7.26
  • Fund: Schroder Managed Wealth Portfolio Z Income
  • Category: GBP Flexible Allocation
  • Benchmark: Morningstar UK Moderate
Trailing Returns % (GBP) 24/06/2019
FundCatBmark
YTD7.848.5210.12
3 Years Annualised6.465.998.25
5 Years Annualised5.524.738.17
10 Years Annualised---

Morningstar SRRI

Lower Risk
Higher Risk
  • 1
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  • 3
  • 4
  • 5
  • 6
  • 7
Potentially Lower ReturnsPotentially Higher Returns
Source: Morningstar

Investment Objective

The Fund aims to provide capital growth and income by investing in equity and equity related securities, fixed and floating rate securities and alternative assets worldwide. The Fund aims to achieve a return in excess of cash over the long term (with an emphasis on managing risk) but this cannot be guaranteed and your capital is at risk. The Fund invests at least 80% of its assets (directly (or indirectly through collective investment scheme, exchange traded funds, real estate investment trusts or closed ended funds) in equity and equity related securities, fixed and floating rate securities and alternative assets worldwide. As the Fund is index-unconstrained it is managed without reference to an index.

Portfolio Profile30/04/2019

Morningstar Style Box®

Equity Style

Large, Mid, SmallSize
Value, Blend, Growth
Style

Fixed Income Style

High, Med, LowCredit Quality
Ltd, Mod, Ext
Interest Rate Sensitivity
Asset Allocation %
LongShortNet
Stocks48.551.5646.99
Bonds23.581.2122.37
Cash21.388.5512.83
Other17.850.0417.81
Top Stock Regions
Region%
United States36.37
United Kingdom24.12
Asia - Emerging11.43
Eurozone7.13
Japan6.89

Top Sectors

Stock Sector%
Financial Services27.35
Healthcare17.44
Technology10.53
Consumer Cyclical9.53
Industrials9.03
Fixed Income Sector%
Cash & Equivalents35.42
Corporate Bond34.81
Government19.07
Agency Mortgage Backed4.39
Asset Backed1.90
Top Holdings
NameSector%
IncreaseDecreaseNew since last portfolio
Vontobel Ttfr Abs Ret Crdt AQNG GBP Not Classified6.18
Findlay Park American USD Not Classified5.79
Polar Capital Global Ins E GBP Inc Not Classified5.37
Troy Trojan Income X Inc Not Classified4.13
Majedie UK Equity X Inc Not Classified4.12
AJ Bell Management Limited (company number 03948391), AJ Bell Securities Limited (company number 02723420) and AJ Bell Asset Management Limited (company number 09742568) are authorised and regulated by the Financial Conduct Authority. All companies are registered in England and Wales at 4 Exchange Quay, Salford Quays, Manchester M5 3EE. See website for full details. AJ Bell procures the provision of the Morningstar Licensed Tools on an “as is” basis and does not guarantee the performance of or accept liability for the Licensed Tools. To the maximum extent permitted by law, AJ Bell excludes liability for the Licensed Tools, including liability for any failure, interruption, delay or defect in the performance of any Licensed Tool, unless it arises as a direct result of the negligence of AJ Bell.
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