WS Aegon Investments ICVC II - WS Aegon Risk-Managed Fund 4 A Accumulation header image

WS Aegon Investments ICVC II - WS Aegon Risk-Managed Fund 4 A Accumulation

Fund

ISIN GB00BL38YV67 / Valor null

NAV (2026-08-14)
GBP 1.60-0.11%

WS Aegon Investments ICVC II - WS Aegon Risk-Managed Fund 4 A Accumulation
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WS Aegon Risk-Managed 4 Fund aims for capital growth by allocating about two-thirds of its investments to a diverse mix of company shares and property-related securities through passively managed funds, and roughly one-third to corporate and government bonds, primarily investment grade. The fund actively adjusts these proportions to maintain a moderate risk level, targeting growth over a five-year period.

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equities bonds msci world

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OTHER SHARE CLASSES OF THIS FUND

WS Aegon Investments ICVC II - WS Aegon Risk-Managed Fund 4 A Income
WS Aegon Investments ICVC II - WS Aegon Risk-Managed Fund 4 A Income WS Aegon Investments ICVC II - WS Aegon Risk-Managed Fund 4 A Income
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Annual Return

-50%0%+50%

Risk level

110
-0.11%GBP 1.45