WS Verbatim Multi-Index Portfolio 3

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There is only one type of share class for this fund.

WS Verbatim Multi-Index Portfolio 3 Fund A Shares

Category GBP Allocation 20-40% Equity

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This fund can be held in an Investment ISA, SIPP and Investment Account
Last buy/sell price

177.54p

arrow-down-0.47p (-0.26%)

Fund Code

TCPTA

B4W2H77

GB00B4W2H776

Prices updated as at 28 Mar 2025
|
Prices in GBX

Investment objective
The Fund will use a broadly defensive investment strategy with the aim of achieving capital growth over the medium to longer term. The Fund's portfolio will gain exposure to the underlying assets via a diversified range of passive open ended funds, exchange traded funds and real-estate investment trusts. The underlying asset mix is generally fixed interest but exposure to UK and global equities may be included. The underlying asset mix of the Fund will follow an asset allocation model, provided by an external risk rating agency, such that, on a risk scale between 1 and 10, where 1 is defined as likely to be “lowest risk” and 10 is defined as likely to be “highest risk”, the Fund’s risk level is expected to be at level 3 1 meaning low risk.

Portfolio as of 28/02/2025

Asset allocation

Created with Highcharts 7.2.235.41% Stocks45.03% Bonds18.55% Cash1.01% Other- Not classified
Show long & short position

Geographical breakdown

Continent or country allocation (%)

Created with Highcharts 7.2.20.540.541.321.321.321.322.662.663.23.25.175.177.967.969.579.5710.8710.8722.0322.0334.5134.51AfricaMiddle EastLatin AmericaAustralasiaEurope - ex EuroEurozoneJapanAsia - EmergingAsia - DevelopedUnited StatesUnited Kingdom

Market classification (%)

Created with Highcharts 7.2.212.612.687.487.4EmergingDeveloped

Stock style

Large core

27.43%

% Weight
Value
Core
Growth
Large

27

27

25

Medium

5

7

4

Small

1

2

1

Valuation

WS Verbatim Multi-Index Portfolio 3 Fund A Shares
GBP Allocation 20-40% Equity

14.24

14.24
17.01

1.37

1.37
1.78

1.89

1.89
2.58

8.67

8.67
11.17

Growth rate

WS Verbatim Multi-Index Portfolio 3 Fund A Shares
GBP Allocation 20-40% Equity

9.72%

9.72%
9.86%

2.98%

2.98%
2.40%

1.79%

1.79%
6.27%

Top 10 holdings

Security nameSectorCountry% of assets
1HSBC Global Corporate Bond ETF S2CHGBP-Ireland25.65
2Royal London Short Term Money Mkt Y Acc-United Kingdom13.78
3Vanguard Glb Bd Idx Ins Pl £ H Acc-Ireland11.66
4Dimensional Global UltrShrt FI GBP Acc-Ireland10.91
5Vanguard Em Mkts Stk Idx Ins Pl £ Acc-Ireland6.29
6iShares UK Equity Index (UK) D Acc-United Kingdom6.15
7Vanguard FTSE UKAllShrIdxUnitTrInsPl£Acc-United Kingdom5.77
8iShares North American Eq Idx (UK) D Acc-United Kingdom4.10
9HSBC American Index C Acc-United Kingdom3.67
10iShares Pacific ex Jpn Eq Idx (UK) D Acc-United Kingdom3.19
Assets in top 10 holdings %

91.17%

Total no. of equity holdings

-

Total no. of bond holdings

-

Stock sectors

WS Verbatim Multi-Index Portfolio 3 Fund A Shares
GBP Allocation 20-40% Equity

38.06%

Basic materials

5.13%
-

Con cyclical

10.42%
-

Financial svs

20.05%
-

Real estate

2.47%
-

41.75%

Comm services

6.61%
-

Energy

5.46%
-

Industrials

12.37%
-

Technology

17.31%
-

20.19%

Con defensive

8.33%
-

Healthcare

8.93%
-

Utilities

2.93%
-


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