
This fund aims to replicate the financial performance of the Barclays Capital Global Aggregate U.K. Government Bond Index. This benchmark is composed of U.K. government debt instruments, weighted by their market value and denominated in British Pounds. Employing a passive investment strategy, the fund's core purpose is to closely follow the returns of this specific index, which is a component of the wider Barclays Capital Global Aggregate Bond Index. The market-weighted index itself comprehensively covers all sterling-denominated United Kingdom treasury and government-linked securities that possess a maturity exceeding one year.
Check out other names from the same Asset Management - Bonds industry as 0P0000KM25.L.