Schroder Income Portfolio A Income GBP
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The Schroder Income Portfolio invests globally across a diverse mix of assets to generate income and achieve capital growth. Its underlying portfolio includes equity and equity-related securities, government and corporate fixed income bonds, various currencies, and alternative assets such as real estate, infrastructure, and commodities. Additionally, the fund utilizes derivatives to enhance its investment strategy. By allocating investments through collective and closed-ended schemes, real estate investment trusts (REITs), and exchange-traded funds (ETFs), the Schroder Income Portfolio ensures broad diversification across different markets and asset classes worldwide.
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incomemsci all country world indexdiversified
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Schroder Income Portfolio Z Accumulation GBP
Schroder Income Portfolio Z Accumulation GBP
Schroder Income Portfolio Z Accumulation GBP
Valor: 12199462
Annual Return
-50%0%+50%
Risk level
110
0.05%GBP 2.17
Schroder Income Portfolio Z Income GBP
Schroder Income Portfolio Z Income GBP
Schroder Income Portfolio Z Income GBP
Valor: 12199459
Annual Return
-50%0%+50%
Risk level
110
0.07%GBP 1.35
Schroder Income Portfolio A Accumulation GBP
Schroder Income Portfolio A Accumulation GBP
Schroder Income Portfolio A Accumulation GBP
Valor: 12199456