MI Sinfonia Cautious Managed Portfolio A Acc header image

MI Sinfonia Cautious Managed Portfolio A Acc

Fund

ISIN GB00B2R2Y002 / Valor 2685472

NAV (2026-09-07)
GBP 2.45+0.43%

MI Sinfonia Cautious Managed Portfolio A Acc
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The VT Sinfonia Cautious Managed Portfolio aims for long-term growth and income by actively managing a globally diversified mix of assets, including equities, fixed interest securities, warrants, and money market instruments. Over 70% of its investments are made through collective investment schemes, focusing on both international and UK-based assets. The portfolio balances higher-risk investments with a cautious emphasis on lower-risk assets like bonds and cash, ensuring a stable and diversified strategy tailored to achieve its long-term financial objectives.

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global portfolio cautious strategy

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OTHER SHARE CLASSES OF THIS FUND

MI Sinfonia Cautious Managed Portfolio B Inc
MI Sinfonia Cautious Managed Portfolio B Inc MI Sinfonia Cautious Managed Portfolio B Inc Valor: 10038060
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Annual Return

-50%0%+50%

Risk level

110
0.43%GBP 1.97
MI Sinfonia Cautious Managed Portfolio B Acc
MI Sinfonia Cautious Managed Portfolio B Acc MI Sinfonia Cautious Managed Portfolio B Acc Valor: 10038053
starstarstarstarstar

Annual Return

-50%0%+50%

Risk level

110
0.43%GBP 2.17