L&G MSCI World Socially Responsible Investment (SRI) Index I Acc
L&G MSCI World Socially Responsible Investment (SRI) Index I Acc
ISIN:
GB00B0CNH940
Risk level:
FE fundinfo Rating:
N/A
IA Sector:
IA Global
Income type:
Accumulation
Price:
167.6000GBX
23 June 2025
Last change:
icon-up-small 0.30%
1 year change:
icon-up-small 2.87%
5 year annualised return:
10.18%
12 month yield:
1.20%
At a glance performance and information
Eligibility:
The value of investments, and income from them, can rise and fall so you may get back less than you invest. If you are unsure about investing, seek independent advice
Add to chart:
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L&G MSCI World Socially Responsible Investment (SRI) Index I Acc
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IA Global
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MSCI World SRI
Discrete calendar year performance
Trailing returns
(*annualised)
Fund Objective: The objective of the Fund is to provide growth by tracking the performance of the MSCI World SRI Index, the “Benchmark Index”. This objective is after the deduction of charges and taxation. The Benchmark Index is comprised of shares in developed markets. The Index provides exposure to companies with outstanding environmental, social and governance (ESG) ratings and excludes companies who have a negative social or environmental impact. The Fund is a Replicating Fund as it seeks to replicate as closely as possible the constituents of the Benchmark Index, less those constituents excluded by the ethical screening methodology, by holding all, or substantially all, of the remaining shares in companies in the Benchmark Index in similar proportions to their weightings in the Benchmark Index. The Fund will have exposure to assets that are included in the Benchmark Index. The Fund may also invest in shares in companies which are reasonably expected to become part of the Benchmark Index in the near future or are an alternative to a constituent of the Benchmark Index and collective investment schemes, including those managed or operated by the Manager or an associate of the Manager as well as money market instruments (such as treasury bills), cash and deposits. The Fund may only hold derivatives for Efficient Portfolio Management purposes.
Manager name:
Legal & General UT Mgr Ltd
Manager start date:
30 September 2013
Investment style:
Passive/Tracking,Growth
Region (geographical):
Global
Manager Biography:
The Index Fund Management team comprises 25 fund managers, supported by two analysts. Management oversight is provided by the Global Head of Index Funds. The team has average industry experience of 15 years, of which seven years has been at LGIM, and is focused on achieving the equally important objectives of close tracking and maximising returns.
Benchmark:
MSCI World SRI
Sector:
IA Global
FE fundinfo Rating:
N/A
Fees and Charges
*This is an indication based on the market average. The fund’s actual transaction cost will be shown before you place a trade.
Account charges are not included
Asset Allocation
Fund size: 491,821,452.00 GBX
Chart date: June 23, 2025
Top 10 Holdings
Sectors
World regions
What is ESG?
ESG stands for Environmental, Social and Governance and is an approach for evaluating to what extent a company works towards social goals. For investors this can be used in order to understand how their funds and the assets they are made up of work towards these goals and use that information to help make sustainable investment choices.
This product uses terms and/or marketing related to sustainability. It does not have a label, but the manager is required to produce a disclosures document.
The FCA website sets out further information in relation to the sustainability labelling and disclosure requirements.