Legal & General Mixed Investment Income 0-35% Fund

Select share classes

Legal & General Mixed Investment Income 0-35% Fund I Class Accumulation

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

71.08p

arrow-up0.27p (+0.38%)

Fund Code

LAXIA

BYW6BT9

GB00BYW6BT91

Prices updated as at 16 May 2025
|
Prices in GBX

Investment objective
The objective of the Fund is to provide income and growth. The Manager will aim to identify a combination of assets that allow the payment of a regular income, while maintaining a focus on capital preservation. The Fund is actively managed and will have exposure to shares in companies, bonds (both corporate and government), money market instruments (such as treasury bills), cash, deposits and indirectly to property and alternative asset classes (such as commodities). The shares in companies and bonds may represent all economic sectors and geographical areas. To obtain exposure to shares in companies, bonds, money market instruments and cash, the Manager may invest directly and/or in collective investment schemes (both active and index tracker) including those which are operated by the Manager or an Associate. At times the Fund may be fully invested in collective investments schemes only or direct investments only.

Dividend information

Dividend information
4.60
-
4.10
Monthly
29 May 2025

Dividend history

Ex-div datePer share amountReinvestment price
01 May 20250.0024870.7049
31 Mar 20250.0023990.6967
03 Mar 20250.0022990.7053
31 Jan 20250.0021980.699
31 Dec 20240.0020370.6864
02 Dec 20240.0019890.6938
31 Oct 20240.0057740.6835
01 Oct 20240.0030890.694
02 Sep 20240.0029070.6865
31 Jul 20240.0025760.6807
01 Jul 20240.0025090.6678
31 May 20240.0022990.6633
01 May 20240.0020810.6539
02 Apr 20240.0020290.6599
29 Feb 20240.0019950.6498
31 Jan 20240.0019340.6505
02 Jan 20240.0018470.6537
01 Dec 20230.0018260.6284
31 Oct 20230.0056720.6029
02 Oct 20230.0034370.6091
31 Aug 20230.0028240.6162
31 Jul 20230.002070.6207
03 Jul 20230.0020710.6106
31 May 20230.0019140.6092
02 May 20230.0017930.6193
31 Mar 20230.0017780.6147
01 Mar 20230.001760.616
31 Jan 20230.0017170.6228
03 Jan 20230.0016640.6052
01 Dec 20220.0016250.6084
31 Oct 20220.003650.5812
03 Oct 20220.0021620.5708
31 Aug 20220.0019180.6037
01 Aug 20220.0019090.6142
01 Jul 20220.001780.5956
31 May 20220.001770.6211
03 May 20220.0018150.6186
01 Mar 20220.0013470.6362
31 Jan 20220.0013380.6529
31 Dec 20210.0014740.6664
01 Dec 20210.0014620.6601
01 Nov 20210.0035140.6609
01 Oct 20210.0020280.6572
31 Aug 20210.0017820.67
02 Aug 20210.0016980.6651
01 Jul 20210.0016640.6602
01 Jun 20210.0015780.6556
04 May 20210.0015490.6503
31 Mar 20210.0013630.6395
01 Mar 20210.0013740.6354
01 Feb 20210.0013570.6389
31 Dec 20200.0013350.6431
01 Dec 20200.0013540.6357
02 Nov 20200.0031680.6041
01 Oct 20200.0020390.6088
01 Sep 20200.0017180.6082
31 Jul 20200.0015430.6087
01 Jul 20200.0015350.6041
01 Jun 20200.0015270.5982
01 May 20200.0015270.5757
31 Mar 20200.0015270.5557
02 Mar 20200.0015340.6166
31 Jan 20200.0015160.6332
31 Dec 20190.001460.6291
02 Dec 20190.0014390.6213
31 Oct 20190.0028520.6185
01 Oct 20190.002360.6197
02 Sep 20190.002210.6186
31 Jul 20190.0023360.6204
01 Jul 20190.0019480.6137
31 May 20190.0017290.595
01 May 20190.001670.5972
01 Apr 20190.001310.5938
01 Mar 20190.0014780.5853
31 Jan 20190.0015210.5792
31 Dec 20180.0014970.562
03 Dec 20180.0015050.5697
31 Oct 20180.0033130.5695
01 Oct 20180.0014610.5784
31 Aug 20180.0015340.5794
31 Jul 20180.0018040.5841
02 Jul 20180.0015530.5769
31 May 20180.001610.5797
01 May 20180.0015850.5787
03 Apr 20180.001510.5719
01 Mar 20180.0014780.5731
01 Feb 20180.0014530.5813
02 Jan 20180.0014620.5864
01 Dec 20170.0015610.5805
01 Nov 20170.0034010.582
02 Oct 20170.0021460.5797
01 Sep 20170.0017380.5849
01 Aug 20170.0017310.5782
03 Jul 20170.0013940.574
31 May 20170.0014460.5802
02 May 20170.001390.5711
Please note that past performance is not a reliable indicator of future returns.


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