SVS Cornelian Progressive Fund

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SVS Cornelian Progressive D Accumulation

Category GBP Allocation 80%+ Equity


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

310.78p

arrow-up0.02p (+0.01%)

Fund Code

COPGA

B5LY209

GB00B5LY2097

Prices updated as at 23 Jan 2025
|
Prices in GBX

Investment objective
The objective of the Fund is to achieve capital growth delivering average annual investment returns (total returns, net of fees) of at least RPI + 3.0% over the long term (which is defined as a five to seven year investment cycle). Capital invested in the Fund is at risk. The Fund will be actively managed and in normal market conditions, at least 70% of the assets of the Fund will be invested in a mixture of shares and fixed income securities (including government and corporate bonds). The allocation to shares and fixed income securities will vary in response to market conditions. However, at least 65% of the assets of the Fund will typically be invested in shares. Such exposure may be achieved directly or indirectly via collective investment schemes managed by third party managers.

Portfolio as of 31/12/2024

Asset allocation

Show long & short position

Geographical breakdown

Continent or country allocation (%)

Market classification (%)

Stock style

Large core

23.99%

% Weight
Value
Core
Growth
Large

18

24

22

Medium

4

14

9

Small

3

4

2

Valuation

SVS Cornelian Progressive D Accumulation
GBP Allocation 80%+ Equity

15.47

15.47
16.52

1.69

1.69
1.72

2.34

2.34
2.45

10.63

10.63
11.32

Growth rate

SVS Cornelian Progressive D Accumulation
GBP Allocation 80%+ Equity

9.96%

9.96%
10.22%

2.34%

2.34%
2.37%

4.56%

4.56%
5.52%

Top 10 holdings

1
Vanguard U.S. Eq Idx Ins Pl £ Inc
Sector
-
Country
United Kingdom
% of assets
9.05722
2
L&G US Equity ETF
Sector
-
Country
Ireland
% of assets
8.84857
3
Schroder ISF Asian Ttl Ret Z Dis GBP
Sector
-
Country
Luxembourg
% of assets
3.48647
4
Findlay Park American I GBP Dist
Sector
-
Country
Ireland
% of assets
3.44661
5
T. Rowe Price US Smlr Cm Eq Ids GBP 2
Sector
-
Country
Luxembourg
% of assets
3.42739
6
Artemis US Select I Inc GBP
Sector
-
Country
United Kingdom
% of assets
3.0016
7
L&G Pacific Index C Inc
Sector
-
Country
United Kingdom
% of assets
2.97659
8
Amundi IS Prime Japan ETF DR
Sector
-
Country
Luxembourg
% of assets
2.92555
9
L&G Global Health & Pharma Index C Acc
Sector
-
Country
United Kingdom
% of assets
2.88676
10
Pictet-Japanese Equity Opps J dy GBP
Sector
-
Country
Luxembourg
% of assets
2.56255
Assets in top 10 holdings %

42.62%

Total no. of equity holdings

28.00

Total no. of bond holdings

-

Stock sectors

SVS Cornelian Progressive D Accumulation
GBP Allocation 80%+ Equity

33.29%

Basic materials

5.37%
-

Con cyclical

9.99%
-

Financial svs

14.52%
-

Real estate

3.40%
-

47.68%

Comm services

7.31%
-

Energy

4.04%
-

Industrials

18.20%
-

Technology

18.13%
-

19.03%

Con defensive

3.15%
-

Healthcare

14.25%
-

Utilities

1.64%
-


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