Aviva Investors Multi-asset Plus Fund II Class 1 GBP Acc
Fund
ISIN GB00B4XCWJ38 / Valor 12548994
NAV (2025-03-13)
GBP 1.87-0.11%
Aviva Investors Multi-asset Plus Fund II Class 1 GBP Acc
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General Objective
The Fund aims to grow investments over the long term (5 years or more) through a combination of income and capital growth, targeting an overall average return before charges and taxes of at least 1.30% greater than the performance benchmark per year.
Fund Exposure
The Fund invests in a variety of global asset classes, including shares of developed and emerging market companies, bonds, cash, money market instruments, alternative strategies, property, and commodities. It uses a mixture of asset allocation techniques to blend asset classes for diversification.
Risks
The Fund is managed to a "cautious" risk profile and aims to remain within a defined risk range. However, there may be times when the Fund operates outside of its risk range, and its returns could be very different from those of the benchmark indices. Additionally, the Fund may engage in tactical asset allocation decisions to capitalize on specific investment opportunities.