Pension funds

Stockmarket managed

Stockmarket Managed Assets & Holdings as at 30 September 2008

External Stockmarket Collection
Asset Allocation%
UK 49.1
North America 21.1
Europe 14.1
Japan 6.6
Pacific 3.4
Other Overseas 2.2
UK Fixed Interest 0.2
Overseas Bonds 0.1
Cash 3.3

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Global
Asset Allocation%Top Holdings%
United Kingdom 44.3Hsbc Hldgs Ord Usd0.50(UK Reg) 4.4
North America 12.8Vodafone Group USD 0.114 3.0
Europe ex UK 16.1Bp Ord Usd0.25 2.6
Japan 5.8Astrazeneca Ord Usd0.25 2.3
Far East Ex Japan 8.4Glaxosmithkline Ord Gbp0.25 2.2
Emerging Markets 0.1Brit Amer Tobacco Ord Gbp0.25 1.9
Cash 12.5Royal Dutch Shell 'b'shs Eur0.07 1.8
  Bg Group Ord Gbp0.10 1.8
  Tesco Ord Gbp0.05 1.8
  Bae Systems Ord Gbp0.025 1.7

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Global Equity Tracker
Asset Allocation%Top Holdings%
UK 50.6HSBC Holdings PLC 3.3
North America 28.5BP PLC 3.2
Europe 11.4Vodafone Group PLC 2.4
Japan 4.8GlaxoSmithKline PLC 2.2
Pacific (ex Japan) 4.8Royal Dutch Shell PLC (CL A) 2.2
  Rio Tinto PLC 1.7
  Royal Dutch Shell PLC (CL B) 1.7
  BG Group PLC 1.3
  AstraZeneca PLC 1.3
  Anglo American PLC 1.2

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SE Baillie Gifford Stockmarket Managed
Asset Allocation%Top Holdings%
UK 54.4BG Group 4.2
North America 15.6HSBC 4.2
Europe 13.9Royal Dutch Shell 'A' & 'B' Shares 4.1
Japan 7.8Vodafone 3.1
Pacific (ex Japan) 4.5BHP Billiton 3.1
Other Overseas 2.1BG British Smaller Companies Fund 3.0
Cash 1.7GlaxoSmithKline 2.5
  Reed Elsevier 2.4
  British American Tobacco 2.3
  Tesco 2.1

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SE INVESCO Stockmarket Managed
Asset Allocation%Top Holdings%
UK 49.4INVESCO Perpetual UK Enhanced Index Fd 49.9
North America 27.6INVESCO Perpertual Global ex UK Core Equity 50.1
Europe 13.1  
Japan 6.3  
Pacific ex Japan 1.1  
Other Overseas 1.5  
Cash 1.0  

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SE Lazard Stockmarket Managed
Asset Allocation%Top Holdings%
UK 50.4HSBC 4.9
North America 24.8Vodafone 4.0
Europe 16.3Royal Dutch Shell B 3.6
Japan 3.1GlaxoSmithKline 3.2
Pacific (ex Japan) 1.2Microsoft 3.2
Cash 4.2BG 2.4
  National Grid 2.1
  IBM 1.9
  Roche 1.9
  BP 1.8

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SE Newton Stockmarket Managed
Asset Allocation%Top Holdings%
UK Equities 42.7Vodafone Group PLC 3.1
North American Equities 11.5GlaxoSmithKline PLC 3.1
Continental Europe ex. UK Equities 13.5BP PLC 3.1
Japanese Equities 3.7BG Group PLC 2.3
Pacific ex. Japan Equities 6.2HSBC Holdings PLC 1.9
Other International Equities 8.7Cable & Wireless PLC 1.8
UK Bonds 1.4Royal Dutch Shell PLC 1.6
Cash 12.2Standard Chartered PLC 1.6
  British American Tobacco PLC 1.6
  Unilever PLC 1.4

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SE Northern Trust Stockmarket Manager of Managers
Asset Allocation%
UK 49.3
North America 23.3
Europe 13.7
Japan 5.0
Pacific (ex Japan) 4.8
Cash 3.8

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SE SG Stockmarket Managed
Asset Allocation%Top Holdings%
UK Equities 42.1HSBC Holdings 3.5
America 16.5Bp 3.2
Europe 13.0Vodafone Group Plc 2.6
Japan 9.0Glaxosmithkline 2.4
Pacific 6.7Royal Dutch Petrol 1.6
Global Emerging Markets 5.3Royal Bank Scotland 1.6
UK Bonds 0.7Rio Tinto 1.4
International Bonds 0.3Bt Group Plc 1.3
Cash 6.4Astrazeneca Ord 0.9
  Bae Systems 0.9

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SE UBS Stockmarket Managed
Asset Allocation%
UK 54.2
North America 24.6
Europe 11.2
Japan 5.1
Pacific (ex Japan) 3.1
Other Overseas 1.9

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Bonus declaration

2006 Bonus declaration

Investment Managers

We're working closely with some of the most respected in the UK, including AEGON Asset Management.