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WS Bentley
GBP Balanced Fund Holdings

Portfolio Holdings as at 18 March 2026

  • Equities 54.2%
  • Thematic 9.8%
  • Amundi Core MSCI China A Swap ETF GBP Dist 2.7%
  • Fundsmith Equity Fund I Acc 2.2%
  • Xtrackers MSCI India Swap ETF GBP 2.4%
  • Xtrackers MSCI USA Health Care ETF USD Inc 2.5%
  • US 20.5%
  • iShares Core S&P 500 ETF 4.2%
  • L&G US Equity ETF GBP 11.1%
  • SPDR S&P 500 UCITS ETF 5.2%
  • UK 13.1%
  • Amundi UK Equity All Cap ETF GBP 10.3%
  • iShares Core FTSE 100 ETF 1.5%
  • WS Gresham House UK Smaller Companies Fund 1.3%
  • Europe ex UK 4.8%
  • HSBC Euro Stoxx 50 ETF 4.8%
  • Japan 3.2%
  • Amundi Prime Japan UCITS ETF USD 3.2%
  • Emerging Markets 2.8%
  • HSBC MSCI EM ETF 2.8%
  • Nominal Bonds 18.6%
  • Invesco US Treasury 7-10 Yr ETF GBP Hdg Inc (London) 7.3%
  • UK Gilt 0.625% 31/07/2035 2.9%
  • UK Gilt 1.75% 07/09/2037 5.8%
  • UK Gilt 1.125% 31/01/2039 2.6%
  • Alternatives 15.2%
  • DUNN WMA Inst. UCITS GBP Class B Acc 2.5%
  • Fulcrum Equity Dispersion I GBP 2.5%
  • Icosa Cat Bond SI2 2.5%
  • Royal Mint Responsibly Sourced Gold ETC 2.6%
  • Twelve Cat Bond 2.5%
  • Winton Trend GBP I Acc 2.6%
  • Cash 12.1%
  • BlackRock ICS GBP USBF Acc Premier Class 11.5%
  • Cash Balance 0.6%
  • Top 5 Stock Positions as at 28 February 2026 Position Size
  • Nvidia Corp 1.5%
  • Apple Inc 1.4%
  • Microsoft Corp 1.2%
  • Astrazeneca PLC 1.1%
  • Meta Platform 0.7%
  • Top 5 Yield Positions as at 28 February 2026 Position size Yield
  • Icosa Cat Bond SI2 – GBP Acc 2.4% 6.4%
  • Twelve Cat Bond SI1 GBP Inc 2.4% 6.3%
  • UK Gilt 1.125% 31/01/2039 2.6% 4.6%
  • UK Gilt 1.75% 07/09/2037 5.9% 4.5%
  • UK Gilt 0.625% 31/07/2035 3.0% 4.3%
  • Currency Exposure as at 28 February 2026 Position Size
  • GBP 55.6%
  • USD 24.8%
  • EUR 5.8%
  • RMB 4.5%
  • JPY 3.0%
  • INR 2.9%
  • Gold 2.5%
  • Other 0.9%

Disclaimer

REGULATORY INFORMATION: The WS Bentley GBP Balanced fund is a sub-fund of the WS Bentley Investment Funds, an OEIC umbrella registered in the UK and authorised and regulated by the Financial Conduct Authority. Bentley Capital Ltd. (licensed by the SFC in Hong Kong) acts as investment manager to the fund who in turn,  has appointed Bentley Reid & Co (UK) Ltd as sub-adviser to each Sub-fund This document is for information purposes only and should not be considered as an offer to sell, or a solicitation of an offer to buy. The data is sourced from a combination of Bentley Reid & Co (UK) Ltd’s proprietary systems and Bloomberg. Where quoted, stock yield relates to the latest available dividend yield in local currency terms and is sourced from Bloomberg. Bond yields are also sourced from Bloomberg and are the latest hold-to-maturity yield in the currency of the bond issue. For inflation-linked bonds, a nominal yield is shown and calculated by adding a market-derived figure for medium-term inflation expectations to the quoted real yield. The value of investments may fall as well as rise and fluctuations in currency exchange rates may affect their value and you may not get back the amount originally invested.