Fund fact sheet

See more funds from Aviva Investors UK Fd Serv Ltd

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See more funds managed by: Andrew Lake

Aviva Investors Managed High Income 2 Fund Inc



Fund Overview

Unit Price 70.47p

21/05/2012

Standard Initial Charge n/a
TQ Invest Discount 0.00%
Initial Charge Through TQ Invest n/a
Annual Management Charge 0.50%
Total Expense Ratio 0.64%
Fund size £132,500,000
Usable in ISA No


Fund holding information

Holding Weighting
Fncl 4% 30Yr Tba 4% 06/18/2019 5.20%
Geberit 3.30%
Schroder Income-Inc 1.60%
Ginnie Mae Ii Pool 3.5% 15/05/2042 1.50%
Mobank Ltd 1.50%
Muzinich Enhancedyield Short-Term Bond Hedged Inc Gbp 1.40%
+6Yr Autocallable Growth Structure 10/07/2014 1.40%
Standard Life 6.546% Perp 1.40%
Malaysia 3.718% Bds 15/06/12 Myr(Var) 1.30%
Batm Advanced Communications 1.30%
Sector Weighting
Bb 23.30%
Bbb 22.00%
B 17.50%
Not Specified 9.10%
Money Market 8.40%
Aaa 7.00%
A 5.60%
Ccc+ 3.60%
Non-Rated 3.50%
Region Weighting
Uk 37.60%
North America 29.90%
Europe Ex Uk 13.50%
Equities 9.10%
Money Market 8.40%
Australasia 1.10%
Americas 0.40%
Asset Type Weighting
Global Fixed Interest 54.00%
Uk Fixed Interest 37.60%
Money Market 8.40%

Data provided by Financial Express

The value of this investment and the income from it can go down as well as up. Past performance should not be regarded as a guide to the future. The investment described may not be suitable for all recipients and this factsheet does not constitute personalised investment advice. No liability is accepted for any loss arising from errors or omissions.