WS Keyridge Diversified Risk Managed IV Fund C Accumulation
Fund
ISIN GB00BJP0X429 / Valor null
NAV (2026-07-03)
GBP 1.48+0.46%
WS Keyridge Diversified Risk Managed IV Fund C Accumulation
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WS Canlife Diversified Risk Managed IV builds a balanced portfolio by investing in a variety of asset classes including bonds, equities, cash, money market instruments, and alternative investments like property. The fund allocates between 20% and 60% to equities to capture growth, up to 10% to alternative assets for additional diversification, and the remaining portion to bonds and cash for stability. This mix is carefully designed to maintain a medium risk level, aiming to grow capital steadily over time by spreading investments across different types of assets.
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multi assetrisk profile
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OTHER SHARE CLASSES OF THIS FUND
WS Keyridge Diversified Risk Managed IV Fund G Accumulation
WS Keyridge Diversified Risk Managed IV Fund G Accumulation
WS Keyridge Diversified Risk Managed IV Fund G Accumulation
Annual Return
-50%0%+50%
Risk level
110
0.47%GBP 1.48
WS Keyridge Diversified Risk Managed IV Fund C Income
WS Keyridge Diversified Risk Managed IV Fund C Income
WS Keyridge Diversified Risk Managed IV Fund C Income