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Corporate Bond Fund
Investment Objective
This fund aims to provide an above average income from a diversified portfolio of interest bearing securities such as corporate bonds and gilts.
Investment Policy
The policy is to invest in a wide range of investment grade interest-bearing securities, mainly in the UK and Europe, to obtain a yield in excess of the FTSE FTA Government Securities All Stocks Index.
Risk/Return Relationship
The Corporate Bond Fund is a cautious/medium risk fund. It aims to achieve above average yields by investing primarily in investment grade interest bearing securities. The inclusion of up to 20% non investment grade securities will potentially reduce the capital in an extended period of declining (stockmarket) prices. This fund is only available with the ISA Investor and Collective Investment Plan.
Further Information
Corporate Bond Fund factsheet (PDF - New Window)
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