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Aviva Investors Multi-Mgr 40-85% 2 £Acc (0P0000KOCC.L)
LSE - LSE Delayed price. Currency in GBp (0.01 GBP)
Add to watchlist
185.79
0.00
(0.00%)
As of 09:00PM BST. Market open.
Summary
Chart
Historical data
Profile
Holdings
Performance
Risk
Purchase info
Sustainability
Overall portfolio composition (%)
Cash
-9.79%
Stocks
60.90%
Bonds
21.25%
Others
26.53%
Preferred
0.10%
Convertible
1.03%
Sector weightings (%)
Sector(s)
0P0000KOCC.L
Basic materials
6.65%
Consumer cyclical
10.94%
Financial services
17.05%
Property
3.08%
Consumer defensive
6.22%
Healthcare
10.66%
Utilities
1.95%
Communication services
8.06%
Energy
4.15%
Industrials
12.18%
Technology
19.07%
Equity holdings
Average
0P0000KOCC.L
Category average
Price/Earnings
0.06
N/A
Price/book
0.43
N/A
Price/sales
0.57
N/A
Price/Cash flow
0.08
N/A
Median market cap
57,794.35
N/A
3-year earnings growth
19.97
N/A
Bond holdings
Average
0P0000KOCC.L
Category average
Maturity
N/A
N/A
Duration
N/A
N/A
Credit quality
N/A
N/A
Bond ratings
Sector(s)
0P0000KOCC.L
US government
15.32%
AAA
8.12%
AA
13.87%
A
25.33%
BBB
24.28%
BB
9.93%
B
6.26%
Below B
2.02%
Others
10.19%
Top 1 holdings (22.00% of total assets)
Get quotes for top holdings
Name
Symbol
% assets
iShares Core S&P 500 ETF USD Acc
CSSPX.SW
22.00%
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