MI Sinfonia Income and Growth Portfolio A Inc
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VT Sinfonia Income and Growth Port seeks long-term returns by combining capital growth and income through a diversified global portfolio with a strong emphasis on UK assets. The fund invests around 60% in equities, allowing for adjustments based on market conditions, and allocates the remaining 40% to fixed interest securities, warrants, and money market instruments. Additionally, at least 70% of the investments are made through collective investment schemes managed or advised by the fund’s investment team. This balanced approach aims to achieve growth while generating steady income over a five-year period.
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OTHER SHARE CLASSES OF THIS FUND
MI Sinfonia Income and Growth Portfolio B Acc
MI Sinfonia Income and Growth Portfolio B Acc
MI Sinfonia Income and Growth Portfolio B Acc
Valor: 10038014
Annual Return
-50%0%+50%
Risk level
110
-0.26%GBP 2.42
MI Sinfonia Income and Growth Portfolio B Inc
MI Sinfonia Income and Growth Portfolio B Inc
MI Sinfonia Income and Growth Portfolio B Inc
Valor: 10038059
Annual Return
-50%0%+50%
Risk level
110
-0.26%GBP 1.79
MI Sinfonia Income and Growth Portfolio A Acc
MI Sinfonia Income and Growth Portfolio A Acc
MI Sinfonia Income and Growth Portfolio A Acc
Valor: 2684736