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UK Equity Income

Exposure to large and stable household names in the UK via systematic and transparent process.

Strategy Description

The UK stock market offers some of the highest yields globally and presents an interesting post-BREXIT opportunity to investors.

We score all listed UK stocks on Value, Quality, Safety, Payout, Technical and Sentiment metrics, as well as ESG traits, to ensure lesser-known but still excellent companies are included.

We then construct a concentrated portfolio of the highest scoring names to create a high-yielding UK equity exposure.

This strategy can also be accessed in a Europe ExposureGlobal ExposureHong Kong ExposureJapan Exposure and a US Exposure

PrintFact Sheet

Portfolio Performance

202120222023YTD
Portfolio (%)17.95.869.193.43
Annualized ReturnStandard DeviationDividend Yield
Portfolio3.91%19.69%5.1%

Allocation Breakdown

Asset Class


Equity99.52%
Fixed Income0
Commodities0
Cash0.48%

Geo


America0
Greater Europe100%
Developed Asia0
Emerging Asia0
Central/Latin America0

Sector


Financials 20.44%
Industrials6.08%
Consumer Discretionary
Real Estate
Consumer Staples 12.83%
Materials 14.65%
Healthcare13.97%
Utilities9.53%
Technology
Energy8.83%
Communications13.21%

Top Holdings

Asset ClassWeight (%)
1. DS Smith PLC6.25%
2. BAE Systems PLC6.12%
3. Aviva PLC5.77%
4. Lloyds Banking Group PLC5.28%
5. GSK PLC5.18%
6. Legal & General Group PLC5.18%
7. Coca-Cola HBC AG5.04%
8. National Grid PLC4.92%
9. WPP PLC4.65%
10. SSE PLC4.63%