Aviva Investors Multi-Manager 40-85% Shares Fund 2 GBP Acc
Fund
ISIN GB00B1N94Q41 / Valor 3400775
NAV (2026-07-08)
GBP 2.34-0.24%
Aviva Investors Multi-Manager 40-85% Shares Fund 2 GBP Acc
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Aviva Investors Mlt-Mgr 40-85% Shares Fd aims to grow investments by allocating at least 80% of its assets to a diverse selection of other funds that invest globally across various asset classes, including emerging markets. Between 40% and 85% of its portfolio is invested in company shares, while the remaining investments may include bonds, cash, and property. The fund also uses derivatives to enhance its exposure to different asset classes and to manage risk effectively. This diversified strategy combines income and capital growth to achieve its long-term return objectives.
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mixed investmentglobal asset allocationinvestment association mixed investment 40-85% shares sector
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OTHER SHARE CLASSES OF THIS FUND
Aviva Investors Multi-Manager 40-85% Shares Fund 1 GBP Inc
Aviva Investors Multi-Manager 40-85% Shares Fund 1 GBP Inc
Aviva Investors Multi-Manager 40-85% Shares Fund 1 GBP Inc
Valor: 3305168
Annual Return
-50%0%+50%
Risk level
110
-0.24%GBP 1.31
Aviva Investors Multi-Manager 40-85% Shares Fund 2 GBP Inc
Aviva Investors Multi-Manager 40-85% Shares Fund 2 GBP Inc
Aviva Investors Multi-Manager 40-85% Shares Fund 2 GBP Inc
Valor: 20086295
Annual Return
-50%0%+50%
Risk level
110
-0.24%GBP 2.41
Aviva Investors Multi-Manager 40-85% Shares Fund 8 GBP Inc
Aviva Investors Multi-Manager 40-85% Shares Fund 8 GBP Inc
Aviva Investors Multi-Manager 40-85% Shares Fund 8 GBP Inc
Valor: 3400784