Sector exposure

Cash and cash instruments +0.00pp 7D

15 funds with Cash and cash instruments exposure · showing top 2 · average allocation in displayed funds 38.2%

Funds
2
Avg weight
38.2%
Sector Signals · Cash and cash instruments Rule-based · derived from FMP & FE data
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Top Cash and cash instruments-exposed funds

Sorted by sector weight · 2 funds total
Fund
Manager
Sector weight
1Y return
RL
Royal London Short Term Fixed Income Fund
GB00B4VPT264
Royal London Asset Management
49.4%
RL
Royal London Short Term Fixed Income Enhanced Fund
GB00BG0ZNL86
Royal London Asset Management
27%
+4.4%
Top Cash and cash instruments Holdings Across Funds
UNITED KINGDOM GILT 4% 22/10/2031
Unknown
17.44%
in 1 funds
NATIONAL AUSTRALIA BANK LTD FRN 25/11/2030
Unknown
3.15%
in 1 funds
COMMONWEALTH BANK OF AUSTRALIA FRN 17/10/2027
Unknown
3.14%
in 1 funds
ROYAL BANK OF CANADA 1% SNR NTS 09/09/26 GBP100000
Unknown
2.99%
in 1 funds
FEDERATION DES CAISSES DESJARDINS FRN 12/10/2028
Unknown
2.95%
in 1 funds
OVERSEA CHINESE BK CORP FLT CD 26/05/26-26/05/27
Unknown
2.89%
in 1 funds
WESTPAC BANKING CORP FRN 03/07/2028
Unknown
2.81%
in 2 funds
CREDIT AGRICOLE SA 4.23% CD 20/06/25-22/06/26
Unknown
2.78%
in 1 funds
Conviction Score vs MSCI Benchmark
Fund weight vs MSCI World benchmark (0%)
Royal London Short T..
+49.4%
Royal London Short T..
+27%
Performance Chart
Top 2-fund composite (rebased to 100, equal-weighted) Real fund NAV data 2025-06-24 → 2026-05-29
Cash and cash instruments Sector News
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