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UK and US equities helps Vanguard fund

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High exposure to UK and US equities has played out well for the Vanguard LifeStrategy 80 per cent Equity Fund, returning 42.38 per cent in the past three years, placing it above its sector average.

The primary objective of the £260.9m fund is to achieve income and capital returns through exposure to a diversified notional portfolio through investment in passive index-tracking collective investment schemes. The portfolio’s underlying holdings are Vanguard’s own passive index tracking funds.

Managed by Vanguard’s Europe Equity Index team, the diversified portfolio invests across an array of sectors including healthcare, energy, telecommunications, utilities and IT.

The portfolio has good UK exposure, with a 20 per cent exposure in equities, 2.9 per cent in gilts, 1.8 per cent in corporate bonds and 1.4 per cent in index-linked bonds.

A fettered portfolio, its top three holdings are the £1.6bn US Equity Index fund, at 19.2 per cent; the £1.4bn FTSE Developed World Equity Index Fund, at 19.2 per cent; and the £1.5bn FTSE UK Equity Index Fund, at 15 per cent.



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