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Mixed Investment 40-85% Shares

WS Keyridge Portfolio VI Fund

Managed by Keyridge Asset ManagementPart of WS Keyridge Asset Management (Non-Ucits) Fund
Latest factsheet
Jun 2026
Fund size
£220.9m
Yearly charge
0.65%
Manager fee
0.45%
Income yield
Holdings
60
Launched
28 Nov 2013

The Fund aims to achieve long-term capital growth (over at least five years) while seeking to remain within a defined risk band.

Craig Rippe (Fund Manager) · Jordan Sriharan (Fund Manager)

Cumulative performance

PeriodFundSector averageBenchmarkvs sector
1M+0.10%+0.51%+0.51%
3M+11.26%+9.52%+9.52%
1Y+21.17%+17.07%+17.07%
3Y+42.88%+38.05%+38.05%
5Y+44.27%+32.41%+32.41%

Calendar-year performance

20222023202420252026
-3.14%+4.24%+12.95%+4.40%+21.17%

Top holdings

#HoldingWeight
1WS Keyridge North American Fund16.30%
2WS Keyridge Asia Pacific Fund7.10%
3WS Keyridge UK Equity Income Fund6.60%
4SSGA SPDR S&P 500 ETF USD6.10%
5AMUNDI LUXEMBOURG PRIME JAPAN UCITS ETF DR (D)5.90%
6WS Keyridge UK Equity Fund5.60%
7GOLDMAN SACHS ETF EM EQ ACTV UCI4.90%
8WS Keyridge European Fund4.60%
9AMUNDI INDEX SOL PRIME EMERGING MKTS UCITS E4.00%
10PAYDEN GLOBAL YIELD BOND FUND GBP4.00%

Portfolio breakdown

Asset allocation
International Equity64.10%
Fixed Income17.30%
UK Equity12.10%
Commodities3.50%
Cash2.90%
Property0.10%

Share classes

ClassISINSEDOLTypeHedgedManager feeYearly chargeMinimum
C AccGB00B9BQBN99B9BQBN9acc0.45%0.65%£500

Source factsheets

MonthPublished by the managerRead on
Jun 2026View original factsheet ↗22 Aug 2026
FCA reference 644976 · Check this fund on the FCA register ↗
Figures are read from the manager’s own published factsheet and may lag the market. Past performance is not a guide to future returns, and your capital is at risk. This is information, not advice.