(Back to Medium Risk / UK&USA)
Medium Risk / UK & USA model portfolio / Whole of market
This master portfolio is for ‘Adventurous’ UK investors (those prepared to risk losing value in the hope of getting higher long term returns), wanting to invest in a diversified portfolio across the UK & USA markets, without any restrictions.
This investment portfolio contains 4 ETFs:
ETF | Weighting | Annual yield, % | Annual expenses, % |
---|---|---|---|
VUKE: Vanguard FTSE-100 ETF | 15% | 5% | 0.09% |
IUSA: iShares S&P 500 ETF | 45% | 2% | 0.07% |
VUTY: Vanguard US Treasury bonds ETF | 20% | 2% | 0.07% |
IGLT: iShares UK Gilts ETF | 20% | 1% | 0.07% |
This portfolio has 60% equities, split 3:1 USA: UK. This represents slightly more investment in the UK’s FTSE than the global average. These ETFs track the biggest companies in the index – which constitute over 80% of the total stock market.
The bond portion of this master portfolio is invested 50:50 into US Government bonds and UK Government bonds.
Come on anon, let’s be polite. I thought it was fine.
(Should iShares Sustainable World ETF ticker be SUSW?)
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Rod – thanks for the support! SUWS is USD distributing class; SUSW is EUR Accumulating class. Obvs (not!).
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Neat tool! My broker is quite expensive for fx which is a pity for SUWS / SUSW when so many other things are chewing away at returns.
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