BRITISH ASSETS TRUST PLC
All data as at 30 March 2012
This data will be available on the F&C asset management website, http://www.fandc.co.uk from approximately 16 April 2012.
|
Top Ten Equity Holdings |
% |
|
GlaxoSmithKline |
4.3 |
|
BP |
3.2 |
|
Vodafone |
3.0 |
|
Royal Dutch Shell |
2.9 |
|
British American Tobacco |
2.8 |
|
HSBC |
2.5 |
|
Scottish & Southern |
2.0 |
|
Standard Chartered |
1.9 |
|
Rio Tinto |
1.7 |
|
BG Group |
1.5 |
|
Total |
25.8 |
|
Trust Geographical Breakdown |
% |
|
Corporate Bonds |
10.4 |
|
UK |
64.9 |
|
Global High Yield |
16.4 |
|
North America |
5.2 |
|
Europe |
5.1 |
|
Japan |
2.0 |
|
Pacific (ex Japan) |
3.5 |
|
Other |
0.6 |
|
Global Emerging |
5.9 |
|
Asia |
3.5 |
|
Latin America |
1.3 |
|
Europe |
0.7 |
|
Other |
0.4 |
|
Cash |
2.4 |
|
Total |
100.0 |
Note: All percentages are based on Gross Assets
|
Actual Equity Gearing |
105.6% |