WS Canlife Portfolio IV Class C - Income (GBP)
Sell:131.09p
Buy:131.09p
Change:
0.20p
(0.15%)

Prices as at 18 July 2025
Sell:131.09p
Buy:131.09p
Change:
0.20p
(0.15%)


Prices as at 18 July 2025
Sell:131.09p
Buy:131.09p
Change:
0.20p
(0.15%)

Prices as at 18 July 2025

The selling price currently displayed is higher than the buying price. This can occur temporarily for a variety of reasons; shortly before the market opens, after the market closes or because of extraordinary price volatility during the trading day.
Asset Allocation
Standard top 10 holdings
IA sector allocation
North America | 15.51% | |
---|---|---|
£ Corporate Bond | 15.06% | |
Money Market | 11.79% | |
UK Equity Income | 10.32% | |
Not Classified | 8.90% | |
UK Index Linked Gilts | 7.60% | |
Global Bonds | 6.04% | |
UK All Companies | 5.91% | |
Japan | 5.10% | |
Asia Pacific ex Japan | 4.07% | |
Europe Excluding UK | 3.77% | |
UK Gilts | 2.95% | |
UK Direct Property | 2.57% | |
Cash | 0.41% |
X-ray top 10 holdings
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