Company Name | Ticker | Sector | Value as % of Total
Ashley (Laura) Holding | ALY | General Retailers | 0.96%
Aviva | AV | Life Insurance | 2.73%
Berkeley Group Holdings (The) | BKG | Household Goods & Home Construction | 2.45%
City of London Inv Trust | CTY | Equity Investment Instruments | 4.90%
Galliford Try | GFRD | Construction & Materials | 3.28%
Imperial Brands | IMB | Tobacco | 4.00%
Legal and General Group | LGEN | Life Insurance | 5.35%
Murray International Trust | MYI | Equity Investment Instruments | 3.30%
Pearson | PSON | Media | 1.57%
Royal Dutch Shell 'B' | RDSB | Oil & Gas Producers | 3.64%
Rio Tinto | RIO | Mining | 4.65%
SSE | SSE | Electricity | 3.02%
HSBC Holdings | HSBA | Banks | 4.97%
Unilever | ULVR | Food Producers | 2.01%
Henderson Smaller Companies Inv Trust | HSL | Equity Investment Instruments | 5.92%
Royal Mail | RMG | Delivery Services | 1.00%
Scottish Mortgage Inv Trust | SMT | Equity Investment Instruments | 4.62%
BT Group | BT-A | Fixed Line Telecommunications | 1.73%
Inmarsat | ISAT | Mobile Telecommunications | 2.68%
Petrofac Ltd. | PFC | Oil Equipment, Services & Distribution | 3.26%
Manchester & London Investment Trust | MNL | Equity Investment Instruments | 2.47%
Vanguard FTSE All-World UCITS ETF (GBP) | VWRL | Passive Global Tracker | 20.16%
Cash | ZCASH | Cash | 3.49%
Berkshire Hathaway B | BRK | Insurance & Rail Conglomerate | 2.23%
Fundsmith Equity I Acc | B41YBW7 | Consumer Goods OIEC | 5.63%
I would be grateful for any thoughts and comments. There are a few losing positions such as Pearson that I am foolishly hanging onto to avoid crystallising a loss. I cant escape my monkey psychology on those... The last wodge of cash will probably buy more Fundsmith to be honest: Terry Smith is worth his 1% in my opinion....