25 June UK UK Funds: Positioning Analysis, June 2025 Steve Holden 0 Comments UK Fund Analysis Active UK Funds: Positioning Analysis, June 2025 In this month’s UK positioning analysis:Sector TrendsUK Energy: Concentrated, Under-Owned and Out Of FavourUK Homebuilding: Allocations Rebound as Sentiment Improves Stock AnalysisLand Securities Group PLC: Spiking to New HighsAviva plc: Ownership Rebound after Decade-Long SlideDiploma PLC: Growth Managers Drive Record OwnershipFerguson Plc: Ownership Fades Post-FTSE ExitIntertek Group plc: Broadening Appeal Drives Record Fund Participation Click on the below buttons for extended data packs on UK Energy and UK Homebuilders positioning. UK Energy UK Homebuilders For more analysis, data or information on active investor positioning in your market, please get in touch with me on steven.holden@copleyfundresearch.com Related Posts Steve Holden October 14, 2024 UK Funds: Performance & Attribution Review, Q3 2024 249 UK Equity funds, AUM $180bn UK Funds: Performance & Attribution Review, Q3 2024 Summar .. Steve Holden December 17, 2025 UK Consumer Discretionary Positioning: A Consensus Overweight China allocations have recovered from the lows, but momentum has stalled—masking active shift .. Steve Holden April 28, 2025 UK Funds: Positioning Chart Pack, April 2025 UK Fund Analysis Active UK Funds: Positioning Chart Pack, April 25 In this month’s cha ..