Scottish Widows Balanced Income Portfolio P Inc
Scottish Widows Balanced Income Portfolio P Inc
ISIN:
GB00BD497Z77
Risk level:
FE fundinfo Rating:
2 of 5
IA Sector:
IA Unclassified
Income type:
Income
Price:
105.7000GBX
10 October 2025
Last change:
0.00%
1 year change:
icon-up-small 7.76%
5 year annualised return:
3.93%
12 month yield:
3.10%
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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Scottish Widows Balanced Income Portfolio P Inc
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IA Unclassified
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Index
Discrete calendar year performance
Trailing returns
(*annualised)
Fund Objective: To provide an income and the potential for capital growth by investing in regulated collective investment schemes. These collective investment schemes will provide exposure to fixed interest securities, together with exposure to a mix of asset classes (including shares, property and cash) and absolute return strategies. We do not quote a benchmark or outperformance target for the Fund. This is because the asset allocation of the Fund will change over time. Many funds sold in the UK are grouped into sectors by the Investment Association (the trade body that represents UK investment managers) to help investors compare funds with broadly similar characteristics. Investors may wish to consider the performance of the Fund by looking at the performance of the “Mixed Investment 0-35% Shares Sector” which as of March 2023 has a broadly similar allocation to shares, fixed interest securities and cash. The Fund may not always align with this sector and any changes will be notified via our website, accessible via the Fund Changes link. For further information on this fund's policy and objectives, please refer to the Key Investor Information Document or the Prospectus. These documents can be accessed via the following links:
Manager name:
Scottish Wid UT Mgr Limited
Manager start date:
28 February 2020
Investment style:
Flexible
Region (geographical):
Global
Manager Biography:
Managed fund since: August 2020 Phil Chandler is Multi-Asset Manager of the fund, overseeing and determining asset allocations of the underlying funds. Phil initially joined Schroders as a portfolio manager in the Fixed Income team, with responsibility for global rates, money markets and then Gilt and European government portfolios. He transferred to the Multi-Asset team in 2009. CFA Charterholder. Degree in Philosophy, Politics and Economics, University of Oxford.
Benchmark:
N/A
Sector:
IA Unclassified
FE fundinfo Rating:
2 of 5
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: 258,212,813.57 GBX
Chart date: October 10, 2025
Top 10 Holdings
Sectors
World regions
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The FCA website sets out further information in relation to the sustainability labelling and disclosure requirements.
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