WS Aegon Investments ICVC II - WS Aegon Risk-Managed Fund 1 A Accumulation header image

WS Aegon Investments ICVC II - WS Aegon Risk-Managed Fund 1 A Accumulation

Fund

ISIN GB00BKV26L75 / Valor null

NAV (2026-02-27)
GBP 1.10+0.39%

WS Aegon Investments ICVC II - WS Aegon Risk-Managed Fund 1 A Accumulation
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WS Aegon Risk-Managed 1 Fund aims to grow capital by maintaining a balanced and diversified portfolio. It typically holds about 21% in equities, including company shares and property-related securities, approximately 71% in corporate and government bonds with most being high-quality investment grade, and around 8% in money-market funds. This mix is designed to achieve steady growth while keeping investment risk low.

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Tags:
equities bonds bloomberg global aggregate index

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OTHER SHARE CLASSES OF THIS FUND

WS Aegon Investments ICVC II - WS Aegon Risk-Managed Fund 1 A Income
WS Aegon Investments ICVC II - WS Aegon Risk-Managed Fund 1 A Income WS Aegon Investments ICVC II - WS Aegon Risk-Managed Fund 1 A Income
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Annual Return

-50%0%+50%

Risk level

110
0.39%GBP 1.00