WS Keyridge Portfolio VI Fund G Accumulation
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The WS Canlife Portfolio VI Fund is a globally diversified investment fund that allocates up to 90% of its portfolio through other funds into a combination of equities, including those from emerging markets, bonds, cash, money market instruments, and property. Additionally, it directly invests up to 10% in these same asset classes. The fund is actively managed, regularly adjusting its asset mix to maintain a moderate risk level while aiming for capital growth over a minimum five-year period.
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global equitiesmulti assetmsci world index
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OTHER SHARE CLASSES OF THIS FUND
WS Keyridge Portfolio VI Fund A Accumulation
WS Keyridge Portfolio VI Fund A Accumulation
WS Keyridge Portfolio VI Fund A Accumulation
Annual Return
-50%0%+50%
Risk level
110
0.52%GBP 2.18
WS Keyridge Portfolio VI Fund C Accumulation
WS Keyridge Portfolio VI Fund C Accumulation
WS Keyridge Portfolio VI Fund C Accumulation