020 7189 9999
No Bestinvest rating



The fund adopts a dark green, strongly ethical approach to bond investing; a separate external ethical screen is initially employed and excludes the manager from investing in companies involved in areas such as nuclear power, animal welfare, gambling, tobacco, oppressive regimes and alcohol. The fund predominantly invests in sterling investment grade bonds, but may also utilise up to 10% in higher yielding bonds.
Bonds issued by major governments and companies will be more stable than those issued by emerging markets or smaller corporate issuers; in the event of an issuer experiencing financial difficulty, there may be a risk to some or all of the capital invested. Any historical or current yields quoted should not be considered reliable indicators of future performance.

  • Standard Initial Charge 0.00%
  • Initial charge via Bestinvest 0.00%

Fund summary

Sector £ Corporate Bond
Structure OEIC
Launched June, 2004
Size £593m
Yield 2.2%
Charging basis
Dividends paid 31 Mar, 30 Jun, 30 Sep, 31 Dec


Standard initial charge 0.00%
Initial charge via Bestinvest 0.00%
Additional bid/offer spread 0.00%
Annual management charge 0.50%
Ongoing charges figure 0.55%


Before investing make sure you have understood the risks relevant to the fund by reviewing our Risk Warnings section. Further information on the risks are contained in the fund's Key Investor Information Document, which we make available to you before you make a decision to invest, alternatively it is available on request.

Bestinvest view

No information available.


Allocation Proportion(%)
Equity 0
High yield bonds 10
Quality bonds 85
Property 0
Commodities 0
Hedge 0
Fund cash 5
Allocation Proportion(%)
UK 0
Europe 0
North America 0
Japan 0
Pacific 0
Emerging Markets 0
Allocation Proportion(%)
Large Caps 0
Mid Caps 0
Small Caps 0

View all performance data for this fund

Investment process

The aim is to invest in bonds that have been issued by socially aware companies. The fund will invest over 80% of the portfolio in investment grade bonds with up to 10% in non investment grade high yield Bonds. The objective is to maximise total return by investing in sterling denominated bonds that meet the ethical criteria. Sources of alpha include duration, asset allocation, yield curve positioning, stock selection, rating and sector preferences.

Live feed

Bid price(inc) 105.11p
Accum units 219.98p
Fund commentary 27/02/12
Fund data updated on 09/12/21

Asset allocation

Allocation Proportion(%)
Equity 0
High yield bonds 10
Quality bonds 85
Property 0
Commodities 0
Hedge 0
Fund cash 5

Equity Geographic

Allocation Proportion(%)
UK 0
Europe 0
North America 0
Japan 0
Pacific 0
Emerging Markets 0

Equity Capitalisation

Allocation Propor
Large Caps 0
Mid Caps 0
Small Caps 0

Top 10 holdings

As at: 31/07/2020
1.7695%Lcr Finance 5.1% Gtd Bds 7/3/51 Gbp(Var)
1.6298%Transport For London 5% Nts 31/03/35 Gbp50000
1.2424%Cooperatieve Rabobank Ua 5.25% Mtn 14/09/27 Gbp100000
1.1886%Northern Powergrid(Yorkshire)Plc 4.375% Bds 05/07/32 Gbp100000
1.1692%Kreditanstalt Fur Wiederaufbau Kfw 5% Bds 9/6/2036 Gbp1000
1.1483%Hbos Sterling Finance(Jersey) 7.881% Gtd Non Vtg Non Cum Prf Gbp
1.1435%Bpce Sa 5.25% Bds 16/04/29 Gbp100000
1.0601%White City Property Finance 5.1202% Com Mtg Fxd Nt 17/04/35 Gbp50000
1.0595%Abp Finance Plc 6.25% Gtd 14/12/26 Gbp100000
1.0132%Apt Pipelines Ltd 4.25% Bds 26/11/24 Gbp100000
Source: Trustnet

Sector breakdown

Financials 48%
Others 26%
Mortgage & Secured Bonds 17%
Government Bonds 3%
Money Market 2%
Government Agency Bonds 2%
Asset/Mortgage-Backed Securities 2%

Portfolio details

The top 10 holdings make up to 30% of assets.


No minimum sector diversification limits. Maximum of 20% in cash. 10% in High Yield bonds and at least 80% in sterling investment grade corporate bonds.

Average monthly relative returns Bestinvest MRI
17/18 18/19 19/20 20/21 21/22   3 years 5 years Career 3 years 5 years Career
-0.08% 0.02% -0.18% 0.00% 0.06%   -0.04% -0.04% -0.06% 54.00% 57.50% 51.20%
Performance figures are based on the average of monthly percentage returns relative to the benchmark index.

Iain Buckle / Euan Mcneil

Manager. Buckle joined AEGON Asset Management in 2000 and is a member of the Portfolio Construction team. He spent his first three years on the Rates team, where he analysed the gilt and index-linked market. Previously Buckle was a member of Baillie Gifford’s fixed income team. He has an MA (Hons) in Economics from Heriot-Watt University, is a CFA Institute charterholder. McNeil joined AEGON in 2003 from Britannic Asset Management, where he spent the previous two years on the corporate bond desk. Prior to joining Britannic, he was a portfolio manager covering Far East equities at Blairlogie. McNeil has an honours degree in economics and French from the University of Strathclyde, and an MSc in investment analysis from the University of Stirling.

Track record

Iain Buckle / Euan Mcneil has 12.1 years experience of managing mutual funds in this sector. Over this period the average monthly return relative to the benchmark index has been -0.06%. During the worst period of relative performance (from November 2011 - December 2020) there was a decline of 14% relative to the index. The worst absolute loss has been 6%.

Periods of worst performance
Absolute -6% (February 2020 - March 2020)
Relative -14% (November 2011 - December 2020)

Other funds managed

  Start Date

Sector record since October 2009 (12 yrs)

About the MRI

Our unique indicator: the Bestinvest Manager Record Index (MRI) measures the likelihood that the fund manager is adding value through their decisions. It is based on their performance record over the course of their career, adjusted for the amount of risk taken. MRI is an important contributor to our fund rating system but it is also vital to take account of qualitative factors. It is also very important to select funds to form a cohesive portfolio with an appropriate overall risk level.

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