Deferred Income Portfolio
Asset Allocation
Balanced income Portfolio
Asset Allocation
Adventurous Portfolio
Asset Allocation
1 far east
15.0%
2 global emerging markets
15.0%
3 greater european progressive
15.0%
4 high octane
15.0%
5 north american
15.0%
6 uk & general progressive
15.0%
7 corporate bond
10.0%
FundAllocation
Alternatives
0.0%
asia & pacific
equities
24.0%
Bonds
8.6%
Cash
6.2%
european
equities
16.2%
North american
equities
18.8%
other equities
3.6%
Property
0.0%
Uk equities
22.6%
key
Immediate Income Portfolio
Asset Allocation
1 property
20.0%
2 global equity income
15.0%
3 uk & international income
15.0%
4 corporate bond
10.0%
5 gilts
10.0%
6 index linked gilts
10.0%
7 international corporate bond
10.0%
8 investment grade corporate bond 10.0%
FundAllocation
key
Alternatives
0.0%
asia & pacific
equities
1.3%
Bonds
48.1%
Cash
7.2%
european
equities
7.8%
North american
equities
5.8%
other equities
0.0%
Property
15.3%
Uk equities
14.5%
the investor centre
THE INVESTOR
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1 allshare income
15.0%
2 equity income
15.0%
3 global equity income
15.0%
4 uk & international income
15.0%
5 uk high income
15.0%
6 corporate bond
10.0%
7 international corporate bond
10.0%
8 alternative assets
5.0%
FundAllocation
key
Alternatives
1.0%
asia & pacific
equities
1.7%
Bonds
21.3%
Cash
5.4%
european
equities
8.2%
North american
equities
6.5%
other equities
0.1%
Property
0.4%
Uk equities
55.4%
1 property
15.0%
2 allshare income
10.0%
3 equity income
10.0%
4 global equity income
10.0%
5 international corporate bond
10.0%
6 investment grade corporate bond 10.0%
7 multi asset
10.0%
8 uk & international income
10.0%
9 uk high income
10.0%
10 corporate bond
5.0%
FundAllocation
key
Alternatives
10.0%
asia & pacific
equities
1.0%
Bonds
24.2%
Cash
6.8%
european
equities
5.4%
North american
equities
4.2%
other equities
0.0%
Property
11.5%
Uk equities
36.9%