Index funds with
scale & influence.

Active investors able to generate economies of scale, which we pass on to our clients.

Funds in Focus

Exposure to global developed market property companies and Real Estate Investment Trusts.

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Fixed Interest Trust

Exposure to global developed market property companies and Real Estate Investment Trusts

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UK Absolute Fund

Our flagship index fund provides broad exposure to the UK market.

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UK Index Trust

A fund to capture the growth potential of the world's biggest market.

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US Index Trust

Invest in the potential of the world's most dynamic economies.

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Global Emerging Markets Index Fund

Active Ownership

Latest Active Ownership Report

Take a look at our 2016 Active Ownership report to see how we use our scale and influence to bring about real change in the companies and markets in which we invest.

Market-leading index funds

Legal & General Investment Management (LGIM) is one of the UK’s largest managers of index tracker funds and they are at the heart of LGIM’s business. As a result, we continue to invest in people and systems in order to continually improve how we manage your client’s money.

We believe that our approach to managing index funds provides investors with the best-value index exposure, based on four key attributes:

ScaleExpertise
LGIM is one of the biggest providers of index funds in the UK, and all our funds are UK domiciled. Over the past 25 years we’ve grown to manage £274.3 billion in index-tracking investments and across the group the total value of assets, including derivatives, is £746.1 billion (as at 31 December 2015). Our size means that we are able to generate economies of scale which we can pass on to our investors. We have a large and well-resourced team who have adopted and developed an in-house philosophy for index fund management that we call ‘pragmatic replication’; closely tracking the index but also putting a lot of time, effort and resources into trying to maximise returns for our investors.

SimplicityResponsible Investing
We prefer to invest in physical securities wherever possible and use derivatives sparingly and only ever for efficient portfolio management. We don’t operate a securities lending programme either, so our customers’ exposure to additional risks is minimised and our index funds are kept as transparent and easy to understand as possible. At LGIM we believe that being a market leader means that we have a responsibility to work closely with the companies that we invest in. Being an active owner results in positively impacting the constituents of our index funds, effecting change and improving company performance, which we believe can materially improve long-term returns for our investors.

 

Fund Details

FUND NAME FUND MANAGER PRICES (p) KIID YIELD (%) OCF (%)
BID OFFER
FUND NAME FUND MANAGER PERFORMANCE CHART
3m(%) 6m(%) 1y(%) 3y(%) 5y(%) YTD
FUND NAME FUND MANAGER LITERATURE
ADVISER FACTSHEET INVESTOR FACTSHEET KIID GUIDE REPORT
AND ACCOUNTS
FUND NAME FUND MANAGER LITERATURE PRICES (p) VIDEO CHART
ADVISER FACTSHEET INVESTOR FACTSHEET BID OFFER

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