Royal London Cautious Managed Fund A Acc
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Royal London Cautious Managed aims to achieve total returns over a 6 to 7-year period by primarily investing in a diverse range of other investment funds. Its portfolio includes a mix of investment and sub-investment grade bonds, shares from both UK and international companies, commodities such as oil and gold, real estate, and money market instruments. The fund is actively managed by Royal London’s own teams, with the flexibility to hold up to 20% directly in individual stocks, bonds, and cash, as well as a small portion in derivatives to enhance its investment strategy.