Fund overview
Key Features
| Name | L&G (Ba) Income Portfolio Inc |
| GIF Sector | Fixed Income GBP-Corporate |
| Morningstar Rating |
Not rated |
| Fund Rating |
Not rated |
| ISIN | gb0007984023 |
| Launch Date | 03/07/2000 |
| ISA Plan |
No
|
| Savings Plan |
Yes
|
Key Figures
| Currency | UK Sterling (GBP) |
| Annual Management Charge | 1% |
| Minimum Initial Investment (GBP) |
500
|
| Minimum Sub. Investment (GBP) | 100 |
| 1 Week Performance |
-0.7%
|
| 3 Year Total Return |
|
| 3 Year Volatility |
|
All performances are expressed as percentage change, calculated in sterling on a bid-to-bid basis with dividend income reinvested gross of any applicable taxes. Volatility is based upon monthly returns over a 3-year period. The larger the number the more volatile the monthly returns.
Fund Size Data
| Fund Size (Last Updated :30/05/2008) | 210.59 |
| Average in Sector (Fixed Income GBP-Corporate) | 297.54 |
| Largest in Sector | 2921.85 |
| Smallest in Sector | 1.09 |
| Total Sector Size | 31539.32 |
| Number of Funds in Sector | 108 |
Fund Sizes are the latest available sizes provided by the Asset Groups to Morningstar and are quoted in millions sterling.