{"id":5207,"date":"2023-09-25T03:33:00","date_gmt":"2023-09-25T03:33:00","guid":{"rendered":"https:\/\/www.asadkarim.co.uk\/?p=5207"},"modified":"2023-09-14T12:22:02","modified_gmt":"2023-09-14T12:22:02","slug":"assets-of-the-witan-investment-trust-plc","status":"publish","type":"post","link":"https:\/\/www.asadkarim.co.uk\/?p=5207","title":{"rendered":"Assets of the Witan Investment Trust plc"},"content":{"rendered":"\n<p>Witan is an investment trust which aims to grow shareholders\u2019 wealth and outperform through active investment primarily in listed individual companies across a broad spread of global equity markets.<\/p>\n\n\n\n<p><a href=\"https:\/\/www.witan.com\/about-witan\/our-strategy\">https:\/\/www.witan.com\/about-witan\/our-strategy<\/a><\/p>\n\n\n\n<figure class=\"wp-block-image size-large\"><a href=\"https:\/\/www.asadkarim.co.uk\/wp-content\/uploads\/2023\/09\/Witan1.png\"><img loading=\"lazy\" decoding=\"async\" width=\"1024\" height=\"576\" src=\"https:\/\/www.asadkarim.co.uk\/wp-content\/uploads\/2023\/09\/Witan1-1024x576.png\" alt=\"\" class=\"wp-image-5208\" srcset=\"https:\/\/www.asadkarim.co.uk\/wp-content\/uploads\/2023\/09\/Witan1-1024x576.png 1024w, https:\/\/www.asadkarim.co.uk\/wp-content\/uploads\/2023\/09\/Witan1-300x169.png 300w, https:\/\/www.asadkarim.co.uk\/wp-content\/uploads\/2023\/09\/Witan1-768x432.png 768w, https:\/\/www.asadkarim.co.uk\/wp-content\/uploads\/2023\/09\/Witan1-624x351.png 624w, https:\/\/www.asadkarim.co.uk\/wp-content\/uploads\/2023\/09\/Witan1.png 1280w\" sizes=\"auto, (max-width: 1024px) 100vw, 1024px\" \/><\/a><figcaption>Courtesy of The Witan Investment Trust plc<\/figcaption><\/figure>\n\n\n\n<figure class=\"wp-block-image size-large\"><a href=\"https:\/\/www.asadkarim.co.uk\/wp-content\/uploads\/2023\/09\/Witan2.png\"><img loading=\"lazy\" decoding=\"async\" width=\"1024\" height=\"576\" src=\"https:\/\/www.asadkarim.co.uk\/wp-content\/uploads\/2023\/09\/Witan2-1024x576.png\" alt=\"\" class=\"wp-image-5209\" srcset=\"https:\/\/www.asadkarim.co.uk\/wp-content\/uploads\/2023\/09\/Witan2-1024x576.png 1024w, https:\/\/www.asadkarim.co.uk\/wp-content\/uploads\/2023\/09\/Witan2-300x169.png 300w, https:\/\/www.asadkarim.co.uk\/wp-content\/uploads\/2023\/09\/Witan2-768x432.png 768w, https:\/\/www.asadkarim.co.uk\/wp-content\/uploads\/2023\/09\/Witan2-624x351.png 624w, https:\/\/www.asadkarim.co.uk\/wp-content\/uploads\/2023\/09\/Witan2.png 1280w\" sizes=\"auto, (max-width: 1024px) 100vw, 1024px\" \/><\/a><figcaption><em>Courtesy of The Witan Investment Trust plc<\/em><\/figcaption><\/figure>\n\n\n\n<figure class=\"wp-block-image size-large\"><a href=\"https:\/\/www.asadkarim.co.uk\/wp-content\/uploads\/2023\/09\/Witan3.png\"><img loading=\"lazy\" decoding=\"async\" width=\"1024\" height=\"576\" src=\"https:\/\/www.asadkarim.co.uk\/wp-content\/uploads\/2023\/09\/Witan3-1024x576.png\" alt=\"\" class=\"wp-image-5210\" srcset=\"https:\/\/www.asadkarim.co.uk\/wp-content\/uploads\/2023\/09\/Witan3-1024x576.png 1024w, https:\/\/www.asadkarim.co.uk\/wp-content\/uploads\/2023\/09\/Witan3-300x169.png 300w, https:\/\/www.asadkarim.co.uk\/wp-content\/uploads\/2023\/09\/Witan3-768x432.png 768w, https:\/\/www.asadkarim.co.uk\/wp-content\/uploads\/2023\/09\/Witan3-624x351.png 624w, https:\/\/www.asadkarim.co.uk\/wp-content\/uploads\/2023\/09\/Witan3.png 1280w\" sizes=\"auto, (max-width: 1024px) 100vw, 1024px\" \/><\/a><figcaption><em>Courtesy of The Witan Investment Trust plc<\/em><\/figcaption><\/figure>\n\n\n\n<p>SECURITY % OF TOTAL INVESTMENT<\/p>\n\n\n\n<p>GMO INVSTS ICAV CLIMATE CHANGE INVST A GBP ACC 6.24 % of the fund<br>APAX GBL ALPHA NPV 2.62 % of the fund<br>VH GBL SUSTAINABLE ENERGY NPV 2.53 % of the fund<br>PRINCESS PRIVATE EQTY HLDGS ORD EUR0.001 2.02 % of the fund<br>MICROSOFT CORP USD0.00000625 1.61 % of the fund<br>DIAGEO GBP28.93518 1.60 % of the fund<br>NATWEST GRP GBP1.0769 1.53 % of the fund<br>BP USD0.25 1.51% of the fund % of the fund<br>AMAZON.COM USD0.01 1.45  % of the fund<br>ALPHABET A USD0.001 1.35% of the fund<br>AIB GRP NPV 1.35% of the fund<br>CANADIAN PACIFIC KANSAS CITY NPV 1.25 % of the fund<br>MASTERCARD A USD0.0001 1.24 % of the fund<br>RELX GBP0.144397 1.22% of the fund<br>LONDON STK EXCHANGE GRP GBP0.06918605 1.21% of the fund<br>WRLD WRESTLING ENTERTAIN A USD0.01 1.18% of the fund<br>NVIDIA CORP USD0.001 1.18% of the fund<br>NINTENDO CO NPV 1.15% of the fund<br>UNITEDHEALTH GRP USD0.01 1.12% of the fund<br>BLACKROCK WORLD MINING TST ORD GBP0.05 1.12% of the fund<br>SYNCONA ORD NPV 1.09% of the fund<br>MONDELEZ INTL USD0.01 1.08% of the fund<br>VANG FTSE250 GBPD 1.04% of the fund<br>PEPSICO USD0.017 1.01% of the fund<br>SCHRODER REAL ESTATE INV TST ORD NPV 0.99% of the fund<br>INTUIT USD0.01 0.99% of the fund<br>HEINEKEN HLDGS EUR1.6 0.96% of the fund<br>LLOYDS BANKING GRP GBP0.1 0.95% of the fund<br>UNILEVER GBP0.031111 0.94% of the fund<br>AIRBUS SE EUR1 0.93% of the fund<br>FAIR ISAAC CORP USD0.01 0.90% of the fund<br>THERMO FISHER SCIENTIFIC USD1 0.89% of the fund<br>ARCELORMITTAL NPV 0.87% of the fund<br>COMPAGNIE DE ST GOBAIN EUR4 0.86% of the fund<br>VINCI EUR2.5 0.85% of the fund<br>HARBOURVEST GBL PRIVA NPV 0.83% of the fund<br>LANSD DEVL MKT OPP SUB-AGBPA 0.82% of the fund<br>CHARTER COMMUNICATIONS -A USD0.001 0.80% of the fund<br>BANK OF IRELAND GRP NPV 0.80% of the fund<br>LINDENWOOD USD 0.79% of the fund<br>CRH EUR0.32 0.76% of the fund<br>INTERCONTINENTAL EXCHANGE GRP USD0.01 0.75% of the fund<br>UNILEVER GBP0.0311 0.73% of the fund<br>MOODYS CORP USD0.01 0.72% of the fund<br>COOPER COS COM USD0.10 0.71% of the fund<br>TAIWAN SEMICONDUCTOR MANUFACTURING 1 ADS REP 5 ORD TWD10 0.71% of the fund<br>LVMH MOET HENNESSY LOUIS VUI EUR0.3 0.70% of the fund<br>PRYSMIAN EUR NPV 0.68% of the fund<br>SHISEIDO CO NPV 0.67% of the fund<br>AENA SME EUR10 0.66% of the fund<br>FISERV USD0.01 0.65% of the fund<br>BREEDON GRP ORD GBP1.40 0.64% of the fund<br>NOVO-NORDISK B DKK0.2 0.64% of the fund<br>SMURFIT KAPPA GRP EUR0.001 0.61% of the fund<br>SAFRAN EUR0.20 0.57% of the fund<br>SPDR SER TST SPDR S&amp;P BIOTECH ETF NPV 0.57% of the fund<br>DEUTSCHE LUFTHANSA REG NPV 0.57% of the fund<br>FERRARI EUR0.01 0.55% of the fund<br>WALT DISNEY CO USD0.01 0.54% of the fund<br>BECTON DICKINSON &amp; CO USD1 0.54% of the fund<br>RYANAIR HLDGS EUR0.006 0.53% of the fund<br>ELEVANCE HEALTH USD0.01 0.52% of the fund<br>BT GRP ORD GBP0.05 0.52% of the fund<br>BAE SYSTEMS ORD GBP0.025 0.50% of the fund<br>PAYPAL HLDGS USD0.0001 0.50% of the fund<br>HERMES INTL NPV 0.48% of the fund<br>DATADOG -A USD0.00001 0.46% of the fund<br>BIO RAD LABORATORIES A USD0.0001 0.46% of the fund<br>SONIC HEALTHCARE NPV 0.45% of the fund<br>PRADA EUR0.1 0.44% of the fund<br>APPLE NPV 0.43% of the fund<br>ITC INR1 0.42% of the fund<br>ADYEN NPV 0.41% of the fund<br>KAO CORP NPV 0.41% of the fund<br>REMY COINTREAU EUR1.6 0.41% of the fund<br>AUTOMATIC DATA PROCESSING USD0.1 0.40% of the fund<br>ASTRAZENECA ORD USD0.25 0.39% of the fund<br>VISA A SHS USD0.0001 0.39% of the fund<br>ARISTA NETWORKS USD0.0001 0.39% of the fund<br>NB DISTRESSED DEBT NPV 0.38% of the fund<br>EBAY USD0.001 0.38% of the fund<br>ASHTEAD GRP GBP0.1 0.37% of the fund<br>STRYKER CORP USD0.1 0.37% of the fund<br>ARTHUR J GALLAGHER &amp; CO USD1 0.37% of the fund<br>ELI LILLY &amp; CO NPV 0.36% of the fund<br>LPL FINANCIAL HLDGS NPV 0.36% of the fund<br>CAIRN HOMES GBP0.001 0.36% of the fund<br>ENTEGRIS USD0.01 0.36% of the fund<br>ASML HLDGS EUR0.09 (POST SPLIT) 0.35% of the fund<br>FLOOR &amp; DECOR HLDGS -A USD0.001 0.34% of the fund<br>CATALENT USD0.01 0.34% of the fund<br>LINDE NPV 0.33% of the fund<br>HARGREAVES LANSDOWN GBP0.004 0.33% of the fund<br>BOOZ ALLEN HAMILTON HLDGS USD0.01 0.33% of the fund<br>ICICI BANK 1 ADR REP 2 ORD INR10 0.32% of the fund<br>WASTE CONNECTIONS NPV 0.32% of the fund<br>IBSTOCK GBP1 0.32% of the fund<br>PERNOD-RICARD EUR1.55 0.31% of the fund<br>RYANAIR ADR EACH REPR 5 ORD EUR0.01 0.31% of the fund<br>MITCHELLS &amp; BUTLERS GBP0.0854167 0.31% of the fund<br>SANDVIK NPV 0.30% of the fund<br>ILLUMINA COM USD0.01 0.30% of the fund<br>FLUTTER ENT GBP0.09 0.30% of the fund<br>BROADCOM CORP NPV 0.30% of the fund<br>OLD DOMINION FREIGHT LINE USD0.1 0.29% of the fund<br>MCKESSON CORP USD0.01 0.29% of the fund% of the fund<br>SNOWFLAKE -CLASS A 1 NPV 0.29% of the fund<br>LAM RESEARCH CORP COM USD0.001 0.29% of the fund<br>L&#8217;OREAL EUR0.2 0.29% of the fund<br>ANALOG DEVICES USD0.167 0.29% of the fund<br>FREEPORT-MCMORAN USD0.1 0.28% of the fund<br>SAVILLS GBP0.025 0.28% of the fund<br>PURETECH HEALTH GBP0.01 0.27% of the fund<br>MERCADOLIBRE COM USD0.001 0.27% of the fund<br>TAIWAN SEMICONDUCTOR MANUFACTURING TWD10 0.27% of the fund<br>MANCHESTER UNITED A USD0.0005 0.27% of the fund<br>EATON CORP USD0.01 0.26% of the fund<br>PETROLEO BRASILEIRO 1 ADS REP 2 COM SHS NPV 0.26% of the fund<br>COSTCO WHOLESALE CORP USD0.005 0.26% of the fund<br>ASTELLAS PHARMA NPV 0.26% of the fund<br>ATLASSIAN CORP CLASS A USD0.1 0.25% of the fund<br>HEICO CORP A USD0.01 0.25% of the fund<br>METTLER TOLEDO COM USD0.01 0.25% of the fund<br>ATLAS COPCO -A SHS SEK0.639 0.24% of the fund<br>GENUIT GRP GBP0.001 0.24% of the fund<br>JAPAN EXCHANGE GRP NPV 0.23% of the fund<br>WIENERBERGER NPV 0.23% of the fund<br>EQUIFAX USD1.25 0.22% of the fund<br>TESLA USD0.001 0.22% of the fund<br>EVOLUTION NPV 0.20% of the fund<br>BARCLAYS GBP0.25 0.19% of the fund<br>ACUSHNET HLDGS CORP USD0.001 0.19% of the fund<br>FORTERRA NPV 0.19% of the fund<br>DR ING HC F PORSCHE NPV 0.19% of the fund<br>CADENCE DESIGN SYS USD0.01 0.18% of the fund<br>SERVICENOW USD0.001 0.18% of the fund<br>HOSTMORE GBP0.2 0.18% of the fund<br>TOTALENERGIES SE EUR2.5 0.17% of the fund<br>CORTEVA W\/I USD0.01 0.17% of the fund<br>BIOTECH GROWTH TST GBP 0.25 0.17% of the fund<br>DELTA AIR LINES USD0.0001 0.17% of the fund<br>ITAU UNIBANCO HLDGS NPV 0.16% of the fund<br>INTERMED CAP GRP ORD GBP0.2625 0.16% of the fund<br>KEYENCE CORP JPY50 0.15% of the fund<br>PETROBRAS PETROLEO BRAS-PR NPV 0.15% of the fund<br>FIRSTGROUP GBP0.05 0.15% of the fund<br>SHELL NEW EUR0.07 0.14% of the fund<br>SAMSUNG ELECTRONICS CO KRW5000 0.14% of the fund<br>ENTAIN EUR0.01 0.14% of the fund<br>TENCENT HLDGS HKD0.00002 0.14% of the fund<br>ICICI BANK INR2 0.14% of the fund<br>ADANI ENTERPRISES INR1 0.14% of the fund<br>SMITHS GRP GBP0.375 0.14% of the fund<br>CENTRAIS ELETRICAS BRASILIER COM NPV 0.14% of the fund<br>3I GRP GBP0.738636 0.14% of the fund<br>GSK GBP0.3125 0.13% of the fund<br>INCHCAPE GBP0.1 0.13% of the fund<br>STANDARD CHARTERED USD0.5 0.12% of the fund<br>FULLER SMITH &amp; TURNER-A GBP0.4 0.12% of the fund<br>PETROCHINA CO H CNY1 0.12% of the fund<br>PALO ALTO NETWORKS USD0.0001 0.12% of the fund<br>NEXT GBP0.01 0.12% of the fund<br>BILL COM HLDGS USD0.00001 0.12% of the fund<br>BURBERRY GRP ORD GBP0.0005 0.12% of the fund<br>IMPERIAL BRANDS GBP0.1 0.12% of the fund<br>STATE BANK OF INDIA INR1 0.12% of the fund<br>MONGODB USD0.001 0.12% of the fund<br>PEARSON GBP0.25 0.12% of the fund<br>SPECTRIS GRP ORD GBP0.05 0.12% of the fund<br>BANCO BTG PACTUAL UNIT NPV 0.11% of the fund<br>APPLIED MATERIALS USD0.01 0.11% of the fund<br>BANK CENTRAL ASIA IDR62.5 0.11% of the fund<br>BANK MANDIRI IDR500 0.11% of the fund<br>OXFORD INSTRUMENTS ORD GBP0.05 0.10% of the fund<br>VALE COM NPV 0.10% of the fund<br>ADANI GREEN ENERGY INR10 0.10% of the fund<br>GRAFTON GRP UTS EUR0.05 0.10% of the fund<br>JET2 GBP0.0125 0.10% of the fund<br>VERTEX PHARMACEUTICALS COM USD0.01 0.10% of the fund<br>BABCOCK INTL GRP GBP0.6 0.10% of the fund<br>ANGLO AMER USD0.54945 0.10% of the fund<br>HDFC BANK LIMITED INR1 0.10% of the fund<br>PATANJALI FOODS INR2 0.09% of the fund<br>MOBILEYE GBL USD0.01 0.09% of the fund<br>ADANI PORTS &amp; SPECIAL ECONOMIC ZONE INR2 0.09% of the fund<br>GRUPO FINANCIERO BANORTE-O NPV 0.09% of the fund<br>IG GRP HLDGS GBP0.00005 0.09% of the fund<br>SUN PHARMACEUTICAL INR1 (DEMAT) 0.08% of the fund<br>REDDE NORTHGATE GBP0.5 0.08% of the fund<br>IP GRP GBP0.02 0.08% of the fund<br>JOHNSON SERVICE GRP ORD GBP0.10 0.08% of the fund<br>BODYCOTE GBP0.17273 0.08% of the fund<br>ARGENX SE SPON ADR EACH REP 1 ORD SHS NPV 0.08% of the fund<br>TESCO GBP0.0633333 0.08% of the fund<br>MEITUAN-CLASS B USD0.00001 0.07% of the fund<br>PRUDENTIAL GBP0.05 0.07% of the fund<br>AIRBNB INC-CLASS A USD0.0001 0.07% of the fund<br>WULIANGYE YIBIN CO -A CNY1 0.07% of the fund<br>MELROSE INDUST 0.22857142 0.07% of the fund<br>ADANI TRANSMISSION INR10 0.07% of the fund<br>CIE FINANCIERE RICHEMON-REG CHF1 0.07% of the fund<br>MEMBERSHIP COLLECTIVE GRP A USD0.01 0.07% of the fund<br>SPIRENT COMMUNICATIONS GBP0.03333 0.07% of the fund<br>ITV GBP0.1 0.07% of the fund<br>COMPUTACENTER ORD GBP0.075555 0.06% of the fund<br>WATCHES OF SWITZERLAND G-W\/I GBP0.0125 0.06% of the fund<br>MAX HEALTHCARE INSTITUTE INR10 0.06% of the fund<br>NTPC INR10 0.06% of the fund<br>AMBUJA CEMENTS INR2 0.06% of the fund<br>IONQ USD0.0001 0.06% of the fund<br>CHINA SHENHUA ENERGY H CNY1 0.06% of the fund<br>BANCO DO BRASIL BRL NPV 0.06% of the fund<br>OXFORD BIOMEDICA GBP0.50 0.06% of the fund<br>SAMSUNG SDI KRW5000 0.06% of the fund<br>ADVANCEDADVT NPV 0.06% of the fund<br>PICC PROPERTY &amp; CASUALTY SER H CNY1 0.06% of the fund<br>HOWDEN JOINERY GRP GBP0.1 0.06% of the fund<br>POSCO HLDGS KRW5000 0.05% of the fund<br>OXFORD NANOPORE TECHNOLO-W\/I GBP0.0001 0.05% of the fund<br>ZIJIN MINING GRP CO -A CNY0.1 0.05% of the fund<br>JSW STEEL INR1 0.05% of the fund<br>KWEICHOW MOUTAI CO A CNY1 0.05% of the fund<br>LULEMON ATHLETICA USD0.01 0.05% of the fund<br>DEXCOM COM USD0.001 0.05% of the fund<br>NETEASE ADR REP 25 COM USD0.0001 0.04% of the fund<br>MOONPIG GRP GBP0.1 0.04% of the fund<br>LI AUTO &#8211; ADR NPV 0.04% of the fund<br>TURK HAVA YOLLARI AO TRY1 0.04% of the fund<br>TUPRAS-TURKIYE PETROL RAFINE TRY1 0.04% of the fund<br>CONDUIT HLDGS &#8211; W\/I NPV 0.04% of the fund<br>BARRICK GOLD CORP NPV 0.04% of the fund<br>ANHEUSER-BUSCH INBEV NPV 0.04% of the fund<br>HILL &amp; SMITH GBP0.25 0.03% of the fund<br>PINDUODUO SPON ADS EACH REP 4 ORD SHS 0.03% of the fund<br>BRITVIC GBP0.2 0.03% of the fund<br>RESTAURANT GRP GBP0.28125 0.03% of the fund<br>MACROTECH DEVELOPERS INR10 0.03% of the fund<br>SANDS CHINA COM USD0.01 0.03% of the fund<br>DOWLAIS GRP GBP0.01 0.03% of the fund<br>RIGETTI COMPUTING USD0.0001 0.03% of the fund<br>BHARTI AIRTEL INR5 0.02% of the fund<br>CHINA LIFE INSURANCE CO H CNY1 0.02% of the fund<br>BAJAJ FINANCE INR2 0.02% of the fund<br>NETEASE USD0.0001 0.01% of the fund<br>RIGETTI COMPUTING USD0.0001 0.01% of the fund<br>LI AUTO -CLASS A USD0.0001 0.00*% of the fund<br>BAJAJ FINSERV LTD INR 0.00*% of the fund<br>NU HLDGS LTD\/CAYMAN ISL-A USD0.000006667 0.00*% of the fund<br>AMER MOVIL SAB DE NPV 0.00*% of the fund<br>ADANI TOTAL GAS INR1 0.00*% of the fund<br>BANK NEGARA INDONESIA IDR7500 0.00*% of the fund<\/p>\n\n\n\n<p>SECURITY % OF TOTAL INVESTMENT <strong>TOTAL 100.00<\/strong> <strong>%<\/strong><\/p>\n","protected":false},"excerpt":{"rendered":"<p>Witan is an investment trust which aims to grow shareholders\u2019 wealth and outperform through active investment primarily in listed individual companies across a broad spread of global equity markets. https:\/\/www.witan.com\/about-witan\/our-strategy SECURITY % OF TOTAL INVESTMENT GMO INVSTS ICAV CLIMATE CHANGE INVST A GBP ACC 6.24 % of the fundAPAX GBL ALPHA NPV 2.62 % of [&hellip;]<\/p>\n","protected":false},"author":1,"featured_media":0,"comment_status":"open","ping_status":"open","sticky":false,"template":"","format":"standard","meta":{"footnotes":""},"categories":[1],"tags":[],"class_list":["post-5207","post","type-post","status-publish","format-standard","hentry","category-uncategorized"],"_links":{"self":[{"href":"https:\/\/www.asadkarim.co.uk\/index.php?rest_route=\/wp\/v2\/posts\/5207","targetHints":{"allow":["GET"]}}],"collection":[{"href":"https:\/\/www.asadkarim.co.uk\/index.php?rest_route=\/wp\/v2\/posts"}],"about":[{"href":"https:\/\/www.asadkarim.co.uk\/index.php?rest_route=\/wp\/v2\/types\/post"}],"author":[{"embeddable":true,"href":"https:\/\/www.asadkarim.co.uk\/index.php?rest_route=\/wp\/v2\/users\/1"}],"replies":[{"embeddable":true,"href":"https:\/\/www.asadkarim.co.uk\/index.php?rest_route=%2Fwp%2Fv2%2Fcomments&post=5207"}],"version-history":[{"count":1,"href":"https:\/\/www.asadkarim.co.uk\/index.php?rest_route=\/wp\/v2\/posts\/5207\/revisions"}],"predecessor-version":[{"id":5211,"href":"https:\/\/www.asadkarim.co.uk\/index.php?rest_route=\/wp\/v2\/posts\/5207\/revisions\/5211"}],"wp:attachment":[{"href":"https:\/\/www.asadkarim.co.uk\/index.php?rest_route=%2Fwp%2Fv2%2Fmedia&parent=5207"}],"wp:term":[{"taxonomy":"category","embeddable":true,"href":"https:\/\/www.asadkarim.co.uk\/index.php?rest_route=%2Fwp%2Fv2%2Fcategories&post=5207"},{"taxonomy":"post_tag","embeddable":true,"href":"https:\/\/www.asadkarim.co.uk\/index.php?rest_route=%2Fwp%2Fv2%2Ftags&post=5207"}],"curies":[{"name":"wp","href":"https:\/\/api.w.org\/{rel}","templated":true}]}}