Skandia Pensions – Risk Profile 6
Asset Allocations
Please note: these figures are reviewed quarterly.
| Sectors | Per Cent |
| UK | |
| Skandia / Invesco Perpetual High Income | 5 |
| Skandia / M&G Recovery | 4 |
| Skandia / Schroder UK Smaller Cos | 0 |
| Sector Total | 9 |
| Europe | |
| Skandia / BlackRock European Dynamic | 4 |
| Skandia / Jupiter European | 5 |
| Sector Total | 9 |
| UK Fixed Interest | |
| Skandia / M&G Strategic Corporate Bond | 18 |
| Skandia / M&G Corporate Bond | 12 |
| Sector Total | 30 |
| North America | |
| Skandia / M&G American | 4 |
| Skandia / Neptune US Opportunities | 5 |
| Sector Total | 9 |
| Far East excl. Japan | |
| Skandia / Neptune China | 7 |
| Sector Total | 7 |
| Japan | |
| Skandia / Schroder Japan Alpha Plus | 7 |
| Sector Total | 7 |
| Property | |
| Skandia / SWIP Property Trust | 12 |
| Skandia / Schroder Global Property Securities | 3 |
| Sector Total | 15 |
| International Fixed Interest | |
| Skandia / Newton International Bond | 0 |
| Sector Total | 0 |
| Emerging Markets | |
| Skandia / Aberdeen Emerging Markets | 7 |
| Sector Total | 7 |
| Global Specialist | |
| Skandia / BlackRock Gold & General | 7 |
| Sector Total | 7 |
| Cash / Money Markets | |
| Skandia Deposit | 0 |
| Sector Total | 0 |
| Total | 100 |
Source: Internal.

