Schroder Income Maximiser Income Units

Sell : 35.85p | Buy : 38.08p | down 0.59p
Last valuation as at 08-01-2009

Asset allocation

X-ray asset allocation
UK Equities 84.09%
International Equities 9.75%
Cash 6.04%
Other 0.12%

Top 10 holdings

Stock name % Weight Country Sector
1 BP 8.41% United Kingdom Oil & Gas Producers
2 Vodafone Group 6.30% United Kingdom Mobile Telecommunications
3 GlaxoSmithKline 5.96% United Kingdom Pharmaceuticals & Biotechnology
4 Royal Dutch Shell B 5.58% United Kingdom Oil & Gas Producers
5 Astrazeneca 4.83% United Kingdom Pharmaceuticals & Biotechnology
6 Deutsche Telekom AG 3.85% Germany Mobile Telecommunications
7 RSA Insurance Group 3.40% United Kingdom Nonlife Insurance
8 Pfizer 2.88% United States Pharmaceuticals & Biotechnology
9 Tomkins 2.77% United Kingdom General Industrials
10 Unilever 2.75% United Kingdom Food Producers

Where is the fund invested?

UK Equities Int'l Equities UK Bonds Int'l Bonds UK Gilts Managed Funds Direct Property Other Cash and Equiv. Total
Basic Materials
Consumer Goods 3.73% 3.73%
Consumer Services 15.82% 15.82%
Financials 18.27% 18.27%
Health Care 10.79% 4.71% 15.49%
Industrials 6.94% 1.20% 8.14%
Oil & Gas 13.99% 13.99%
Technology 1.91% 1.91%
Telecommunications 10.72% 3.85% 14.57%
Utilities 1.03% 1.03%
Direct Property
Cash and Equiv. 6.04% 6.04%
Managed Funds
Bonds
Non-Classified 0.89% 0.12% 1.00%
Total 84.09% 9.75% 0.12% 6.04% 100.00%

Data accurate as at 30/11/2008

Data provided by
FundsLibrary