Aviva Investors Higher Income Plus Fund 8 GBP Inc
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General Objective
The fund aims to invest in bonds issued by companies and provide an income of at least 110% of the income return of the benchmark over 5-year rolling periods, with an overall net return greater than the benchmark over the long term.
Fund Exposure
At least 80% of the fund will be invested in bonds globally, including those issued by governments and supranational organizations, with exposure to emerging markets. A maximum of 60% of the fund may be invested in sub-investment grade bonds, offering a higher yield compared to investment grade bonds. The fund may also invest in other bonds, shares of companies, other funds, cash, and deposits.
Risks
Investors should be aware that this fund may not be appropriate for those planning to withdraw their money within 5 years. Additionally, the fund's performance is measured against a composite benchmark, and there are risks associated with investing in bonds, including credit risk and interest rate risk.