Aviva Investors UK Funds Multi-Manager Flexible (Class 1 Acc [GBP])

Size: px
Start display at page:

Download "Aviva Investors UK Funds Multi-Manager Flexible (Class 1 Acc [GBP])"

Transcription

1 Aviva Investors UK Funds Multi-Manager Flexible (Class 1 Acc [GBP]) Benchmark Benchmark IA Flexible Investment IA sector Flexible Investment Identification Codes Sedol code B1N9516 Mex code NUNGF1 ISIN code GB00B1N95162 Aims The Fund aims to provide long-term capital growth by investing in other eligible Collective Investment Schemes (the Target Funds). Investment will be made in shares or units of the Target Funds, which invest in any geographical area or industry sector. Investments may also be made in derivatives for hedging purposes. The Fund will normally be invested in Target Funds whose objectives are equity investment. The Target Funds may however also invest in bonds, Property Securities, and money market instruments. Performance Fund Overview Price Bid 88.17p Offer 88.17p (26/10/2018) Historic yield 0.00% Fund size 77.6m Number of holdings 25 Charges Discounted initial charge 0.000% Net discounted AMC 0.750% Initial charge 5.00% Annual Management Charge 1.50% Exit charge None Performance fees No Fund Background Valuation point Daily 09:00 Fund type OEIC Launch date 24/04/2007 Launch price 0.50 Fund currency Pound Sterling Fund domicile United Kingdom Dealing EMX Yes ISA Eligible Yes Minimum investment 1000 Settlement period: buy 4 days Settlement period: sell Cumulative Performance (%) 3m 6m 1Yr 3Yr 5Yr Fund -6.51% -1.88% -4.29% 24.78% 36.89% Sector -5.80% -1.68% -2.67% 22.09% 31.02% Rank 20/159 58/157 57/151 34/136 28/117 Quartile Discrete Performance (%) - to last month end 09/13 to 09/14 09/14 to 09/15 09/15 to 09/16 09/16 to 09/17 09/17 to 09/18 Fund 5.68% -0.50% 21.03% 11.97% 5.75% Sector 5.67% -0.66% 16.45% 10.53% 5.37% Rank 50/117 61/126 30/136 44/141 57/151 Quartile Fund Managers Name: Multi-asset Team Manager for: 2 yrs, 7 mths Ratings Morningstar Rating Group Details Group address St Helen's 1 Undershaft London EC3P 3DQ Group telephone Dealing telephone

2 4 days Pricing basis Forward Distribution Dates Homepage Ex dividend date(s) Income payment date (s) 30th April 01st March 01st September 31st October This factsheet is for investment professionals only. It is for information purposes only and should not be viewed as a financial promotion. Source of performance data: Financial Express. Performance figures show total return with no initial charge and net income reinvested, except Offshore funds which show gross income reinvested. Cumulative performance figures are calculated from the previous working day. Discrete performance figures are calculated from the previous month end. Past performance is not an indication of future performance. The value of investments and any income from them is not guaranteed and can go down as well as up depending on market movements. All yields are variable and not guaranteed. Data accurate as of 30/09/2018.

3 Aviva Investors UK Funds Multi-Manager Flexible (Class 1 Acc [GBP]) Standard Portfolio Analysis Asset Allocation Managed Funds 92.2% Alternative Trading Strategies 0.2% Cash and Equivalents 7.6% IA Sector Allocation North America (offshore) 22.9% Europe Excluding UK 17.8% Not Classified 11.1% Japan 8.5% Global Emerging Markets (offshore) 8.3% Global Fixed Interest (offshore) 6.9% UK Equity Income 6.0% Absolute Return 4.1% Asia Pacific (offshore) 3.8% Other 3.0% Cash and Equivalents 7.6% X-Ray Portfolio Analysis X-Ray Asset Allocation International Equities 67.6% Managed Funds 8.3% UK Equity 5.4% International Bonds 4.7% Alternative Trading Strategies 4.3% Property 0.9% UK Bonds 0.1% Investment Trusts 0.0% Other 0.3% Cash and Equivalents 8.4%

4 X-Ray Regional Allocation North America 32.6% Developed Europe - Excl UK 18.7% Japan 8.5% Managed Fund 8.3% UK 5.5% Alternative Trading Strategies 4.1% Emerging Asia 3.9% Developed Asia 2.4% Australia and New Zealand 2.1% Other 5.6% Cash and Equivalents 8.3% Industry Sector Breakdown Equities Financials 14.6% Industrials 9.3% Technology 7.4% Consumer Services 7.3% Consumer Goods 5.9% Health Care 5.2% Oil and Gas 3.1% Basic Materials 1.8% Telecommunications 1.6% Utilities 0.9% Bonds Government 1.8% High Yield Corporate Bond 1.5% Investment Grade Corp Bonds 0.4% Others Non-Classified 18.3% Managed Funds 8.3% Alternative Trading Strategies 4.3% Cash and Equivalents 8.3% Top Country Weightings United States 32.5% Japan 8.5% Managed Funds 8.4% United Kingdom 5.5%

5 Alternative Trading Strategies 4.1% France 4.0% Germany 3.4% Netherlands 2.4% Switzerland 2.3% Australia 2.0% Other 18.6% Cash 8.3% Data accurate as of 30/09/2018. This factsheet is for investment professionals only. It is for information purposes only and should not be viewed as a financial promotion. The Industry Classification Benchmark is a product of FTSE International Limited and has been licensed for use. Data presented is based on sources of information believed to be reliable, however FundsLibrary does not provide any guarantees or warranties as to its accuracy or completeness.

6 Aviva Investors UK Funds Multi-Manager Flexible (Class 1 Acc [GBP]) Breakdown By Market Cap (%) Mega (>20bn) 30.8% Large (5bn-20bn) 16.4% Medium (1bn-5bn) 5.1% Small (250m-1bn) 0.5% Micro (<250m) 0.0% Other 34.0% Bonds 4.8% Cash 8.4% Top 10 Analysis Top 10 Holdings Name % Weight Country Sector 1 Wellington Management US Research Equity Portfolio Class A 16.7 [N/A] [N/A] 2 Invesco Perpetual European Equity Income 8.8 [N/A] [N/A] 3 BlackRock European Dynamic Class FD 8.7 [N/A] [N/A] 4 Aviva Inv UK Norwich EM Eq MOM1 8.4 [N/A] [N/A] 5 ishares Core S&P UCITS ETF USD 7.6 [N/A] [N/A] 6 Aviva Inv UK Norwich US Eq MOM [N/A] [N/A] 7 Artemis Income Fund 6.0 [N/A] [N/A] 8 HERMES GLB HIGH YLD BD-FGBPH 4.8 [N/A] [N/A] 9 BGF-EMERGING MKTS BD-A2H GBP 4.7 [N/A] [N/A] 10 BAILLIE GIFFORD JPN-B-ACC 4.4 [N/A] [N/A] Top 10 Holdings X-Ray Analysis Name % Weight Country Sector 1 Wellington Management US Research Equity Portfolio Class A 16.7 United States Non-Classified 2 Aviva Investors Multi-Strategy Target Return Class Alternative Trading Strategies Non-Classified 3 SAP AG 0.6 Germany Technology 4 Tencent Holdings (P Chip) 0.6 Hong Kong Technology 5 Alibaba Group Holding ADS (N Shares) 0.6 United States Consumer Services 6 Taiwan Semiconductor Manufacturing 0.6 Taiwan Technology 7 Apple 0.5 United States Technology 8 Samsung Electronics Co. 0.5 South Korea Technology 9 Toyota Motor Corp. 0.4 Japan Consumer Goods 10 Microsoft Corp. 0.4 United States Technology Data accurate as of 30/09/2018. This factsheet is for investment professionals only. It is for information purposes only and should not be viewed as a financial promotion. The Industry Classification Benchmark is a product of FTSE International Limited and has been licensed for use. Data presented is based on sources of information believed to be reliable, however FundsLibrary does not provide any guarantees or warranties as to its accuracy or completeness.

Aviva Investors UK Funds Multi-Manager 40-85% Shares (Class 1 Inc [GBP])

Aviva Investors UK Funds Multi-Manager 40-85% Shares (Class 1 Inc [GBP]) Aviva Investors UK Funds Multi-Manager 40-85% Shares (Class 1 Inc [GBP]) Benchmark Benchmark IA Mixed Investment 40-85% Shares IA sector Mixed Investment 40-85% Shares Identification Codes Sedol code B1N94P3

More information

Threadneedle Managed Bond Focused (Class A Acc [GBP])

Threadneedle Managed Bond Focused (Class A Acc [GBP]) Threadneedle Managed Bond Focused (Class A Acc [GBP]) Benchmark Benchmark Bespoke Index IA sector Mixed Investment 0-35% Shares Identification Codes Sedol code 3200993 Mex code ADEB ISIN code GB0032009937

More information

Invesco Perpetual Corporate Bond (- Inc [GBP])

Invesco Perpetual Corporate Bond (- Inc [GBP]) Invesco Perpetual Corporate Bond (- Inc [GBP]) Benchmark Benchmark IA Sterling Corporate Bond Sector average IA sector Corporate Bond Identification Codes Sedol code 3305069 Mex code PPPBI ISIN code GB0033050690

More information

Jupiter Distribution (Inc [GBP])

Jupiter Distribution (Inc [GBP]) Jupiter Distribution (Inc [GBP]) Benchmark Benchmark IA Mixed Investment 0%-35% Shares Sector Average IA sector Mixed Investment 0-35% Shares Identification Codes Sedol code 3129429 Mex code RWDISI ISIN

More information

Pension Fund September 2017

Pension Fund September 2017 Pension Fund September 2017 Aviva Pension Asia Pacific ex Japan Equities AP This factsheet provides factual information only. The information shown should not be used in isolation for making buying and

More information

Aviva Pension Newton Asian Income EP

Aviva Pension Newton Asian Income EP Pension Fund February 2018 Aviva Pension Newton Asian Income EP This factsheet provides factual information only. The information shown should not be used in isolation for making buying and selling decisions.

More information

Pension Fund September 2017

Pension Fund September 2017 Pension Fund September 2017 Aviva Pension AXA Rosenberg Asia Pacific Ex Japan XE This factsheet provides factual information only. The information shown should not be used in isolation for making buying

More information

Pension Fund August 2018

Pension Fund August 2018 Pension Fund August 2018 Aviva Pension Janus Henderson Multi- Manager Global Select IE/XE This factsheet provides factual information only. The information shown should not be used in isolation for making

More information

Pension Fund May 2018

Pension Fund May 2018 Pension Fund May 2018 Aviva Pension BlackRock (30:70) Currency Hedged Global Equity Index IE/XE This factsheet provides factual information only. The information shown should not be used in isolation for

More information

Pension Fund December 2018

Pension Fund December 2018 Pension Fund December 2018 Aviva Pen BlackRock (30:70) Curr Hgd Global Eq Idx FP This factsheet provides factual information only. The information shown should not be used in isolation for making buying

More information

INVESTEC GLOBAL FREE ENTERPRISE.

INVESTEC GLOBAL FREE ENTERPRISE. AN EQUITY FUND 31 OCTOBER 2013 01 INVESTEC GLOBAL FREE ENTERPRISE. FUND FACTS Product(s) OEIC/ISA Launch date 14 February 1994 Fund size 420.3 million Number of holdings 115 Initial charge 4.50% Annual

More information

Pension Fund June 2018

Pension Fund June 2018 Pension Fund June 2018 Aviva Pension BNY Mellon Long-Term Global Equity FP This factsheet provides factual information only. The information shown should not be used in isolation for making buying and

More information

Monthly Fund update. Goldman Sachs CORE Equity Portfolios Harnessing the Power of Big Data

Monthly Fund update. Goldman Sachs CORE Equity Portfolios Harnessing the Power of Big Data Goldman Sachs CORE Equity Portfolios Harnessing the Power of Big Data We believe the cornerstone of successful active investing is uncovering opportunity before the broader market prices it in. GSAM has

More information

Fact Sheets January 2019

Fact Sheets January 2019 Fact Sheets January 2019 >Awards and Recognition 2017 International Fund Awards Best Risked Rated Multi-Manager Fund Manager & Recognised Leaders in FOF - UK Global Fund Awards 2016 Most outstanding Risk

More information

Risk Rated Fund Fact Sheets April 2018

Risk Rated Fund Fact Sheets April 2018 Risk Rated Fund Fact Sheets April 2018 >Awards and Recognition 2017 Internation Fund Awards Best Risked Rated Multi-Manager Fund Manager & Recognised Leaders in FOF - UK Global Fund Awards 2016 Most outstanding

More information

Pension Fund March 2018

Pension Fund March 2018 Pension Fund March 2018 Aviva Pension BlackRock Consensus IE/XE This factsheet provides factual information only. The information shown should not be used in isolation for making buying and selling decisions.

More information

Risk Rated Funds Fact Sheets July 2017

Risk Rated Funds Fact Sheets July 2017 Risk Rated Funds Fact Sheets July 2017 >Awards and Recognition Global Fund Awards 2016 Most outstanding Risk Rated Fund of Funds Global Fund Awards 2016 Risk Rated Strategies Management Team of the Year

More information

Risk Rated Funds Fact Sheets December 2016

Risk Rated Funds Fact Sheets December 2016 Risk Rated Funds Fact Sheets December 2016 >Awards and Recognition Global Fund Awards 2016 Most outstanding Risk Rated Fund of Funds Global Fund Awards 2016 Risk Rated Strategies Management Team of the

More information

GLOBAL SPECIAL SITUATIONS FUND A - ACC SHARES 31 JULY 2018

GLOBAL SPECIAL SITUATIONS FUND A - ACC SHARES 31 JULY 2018 Global Special Situations A - ACC Shares Approach and Style Jeremy Podger uses a valuation-focussed approach to identify companies with significant potential for share price appreciation. This can be because

More information

Risk Rated Funds. Fact Sheets. August 2018

Risk Rated Funds. Fact Sheets. August 2018 Risk Rated Funds Fact Sheets August 2018 >Awards and Recognition 2017 International Fund Awards Best Risked Rated Multi-Manager Fund Manager & Recognised Leaders in FOF - UK Global Fund Awards 2016 Most

More information

Risk Rated Fund Fact Sheets September 2016

Risk Rated Fund Fact Sheets September 2016 Risk Rated Fund Fact Sheets September 2016 >Awards and Recognition 2016 International Fund Awards Best for Risk Rated Multi Manager Funds & Best Performing Multi-Asset Risk Fund : Margetts Providence 2015

More information

INVESTMENT OBJECTIVE 14.05% Year to Date (YTD)

INVESTMENT OBJECTIVE 14.05% Year to Date (YTD) MIRAE ASSET ASIA PACIFIC EQUITY "A" ACC ISIN LU0336300859 Structure: Fund Group: Fund Mgmt. Co.: UCI: Classification Allfunds Category: Asia ex-japan General Eq. European Fund Classification: - Fund Benchmark:

More information

Risk Rated Funds Fact Sheets January 2018

Risk Rated Funds Fact Sheets January 2018 Risk Rated Funds Fact Sheets January 2018 >Awards and Recognition 2017 Internation Fund Awards Best Risked Rated Multi-Manager Fund Manager & Recognised Leaders in FOF - UK Global Fund Awards 2016 Most

More information

Pension Fund December 2018

Pension Fund December 2018 Pension Fund December 2018 Aviva Pension BlackRock Sterling Liquidity IE/XE This factsheet provides factual information only. The information shown should not be used in isolation for making buying and

More information

Risk Rated Funds. Fact Sheets. January 2019

Risk Rated Funds. Fact Sheets. January 2019 Risk Rated Funds Fact Sheets January 2019 >Awards and Recognition 2017 International Fund Awards Best Risked Rated Multi-Manager Fund Manager & Recognised Leaders in FOF - UK Global Fund Awards 2016 Most

More information

Pension Fund June 2018

Pension Fund June 2018 Pension Fund June 2018 Aviva Pension BlackRock Emerging Markets Index Tracker FP This factsheet provides factual information only. The information shown should not be used in isolation for making buying

More information

HSBC Portfolios - World Selection 1

HSBC Portfolios - World Selection 1 HSBC Portfolios - World Selection 1 J Share Class BCHGBP 28 Feb 2019 BCHGBP 28/02/2019 Fund Objective and Strategy Investment Objective The Fund aims to provide long term total returns (meaning income

More information

AVIVA INVESTORS PORTFOLIO FUNDS ICVC

AVIVA INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS PORTFOLIO FUNDS ICVC SHORT REPORT For the year ended 28 February 2015 Contents Aviva Investors Multi-Manager Flexible Fund 2 Aviva Investors Multi-Manager 40-85% Shares Fund 8 Aviva Investors

More information

Investec Global Gold I Acc GBP

Investec Global Gold I Acc GBP Fund Summary Quick Stats Citi Code AEE1 FE Crown Rating Price Date 13/07/2018 ISIN Code SEDOL Code GB00B1XFGM25 B1XFGM2 Morningstar Analyst Rating Mid Price 123.63p (+0.60p) S&P Capital IQ Grading Bid

More information

Pension Fund September 2018

Pension Fund September 2018 Pension Fund September 2018 Aviva Pension Allianz Emerging Markets Equity EP / IE / XE This factsheet provides factual information only. The information shown should not be used in isolation for making

More information

Aviva Pension Fidelity Asia EP / EP S1

Aviva Pension Fidelity Asia EP / EP S1 Pension Fund September 2018 Aviva Pension Fidelity Asia EP / EP S1 This factsheet provides factual information only. The information shown should not be used in isolation for making buying and selling

More information

Life Fund May Fund aim. Underlying fund key facts. Aviva fund key facts. Aviva fund risk warning. Aviva fund risk rating

Life Fund May Fund aim. Underlying fund key facts. Aviva fund key facts. Aviva fund risk warning. Aviva fund risk rating Life Fund May 2018 Aviva Life Stewart Investors Asia Pacific Leaders AL / MLC / PSB This factsheet provides factual information only. The information shown should not be used in isolation for making buying

More information

Pension Fund November 2017

Pension Fund November 2017 Pension Fund November 2017 Aviva Pension Stewart Investors Asia Pacific Leaders IE/XE This factsheet provides factual information only. The information shown should not be used in isolation for making

More information

Monthly Fund update. Goldman Sachs CORE Equity Portfolios Harnessing the Power of Big Data

Monthly Fund update. Goldman Sachs CORE Equity Portfolios Harnessing the Power of Big Data Goldman Sachs CORE Equity Portfolios Harnessing the Power of Big Data We believe the cornerstone of successful active investing is uncovering opportunity before the broader market prices it in. GSAM has

More information

FIDELITY ASIAN VALUES PLC 30 JUNE 2018

FIDELITY ASIAN VALUES PLC 30 JUNE 2018 Investment Objective To achieve longterm capital growth through investment principally in the stockmarkets of the Asian Region (excluding Japan). Investment Trust Facts Launch date: Portfolio manager:

More information

Pension Fund January 2018

Pension Fund January 2018 Pension Fund January 2018 Aviva Pension Artemis Strategic Bond EP S3 This factsheet provides factual information only. The information shown should not be used in isolation for making buying and selling

More information

ACWX ishares MSCI ACWI ex U.S. ETF

ACWX ishares MSCI ACWI ex U.S. ETF ishares MSCI ACWI ex U.S. ETF ETF.com segment: Equity: Global Ex-U.S. - Total Market Competing ETFs: CWI, VEU, VXUS, IXUS, DBAW Related ETF Channels: Total Market, Vanilla, Equity, Global Ex-US, Size and

More information

FIDELITY ASIAN VALUES PLC 31 MARCH 2018

FIDELITY ASIAN VALUES PLC 31 MARCH 2018 Investment Objective To achieve longterm capital growth through investment principally in the stockmarkets of the Asian Region (excluding Japan). Investment Trust Facts Launch date: Portfolio manager:

More information

Life Fund November 2017

Life Fund November 2017 Life Fund November 2017 Aviva Life F&C MM Navigator Distribution Acc S2 FPL This factsheet provides factual information only. The information shown should not be used in isolation for making buying and

More information

FIDELITY ASIAN VALUES PLC 31 MAY 2018

FIDELITY ASIAN VALUES PLC 31 MAY 2018 Investment Objective To achieve longterm capital growth through investment principally in the stockmarkets of the Asian Region (excluding Japan). Investment Trust Facts Launch date: Portfolio manager:

More information

Aviva Pension Managed LMP / FPP

Aviva Pension Managed LMP / FPP Pension Fund May 2018 Aviva Pension Managed LMP / FPP This factsheet provides factual information only. The information shown should not be used in isolation for making buying and selling decisions. Fund

More information

Pension Fund December 2018

Pension Fund December 2018 Pension Fund December 2018 Aviva Pension BlackRock (50:50) Global Equity Index Tracker IE/XE This factsheet provides factual information only. The information shown should not be used in isolation for

More information

JUPITER DISTRIBUTION.

JUPITER DISTRIBUTION. A MIXED FUND 30 NOVEMBER 2016 01 JUPITER DISTRIBUTION. FUND FACTS Product(s) Unit Trust/ISA Launch date 4 March 2002 Class launch date 19 September 2011 Fund size 871.7 million Number of holdings 215 Initial

More information

Defensive Income Fund

Defensive Income Fund Defensive Income Fund Data as at 31.07.16 Fund facts Fund Managers: Alignment to risk profiling tools: Jonathan Webster-Smith Mark Shields Jim Mackie Fund overview The fund is actively managed and invests

More information

This guide is for our:

This guide is for our: Fund Choice Guide Closed Funds Quarter 2 2018 2 This guide is for our: Policies taken out after January 2007 (Current product range) Policies taken out between February 1994 and January 2007 (Portfolio

More information

Pension Fund December 2017

Pension Fund December 2017 Pension Fund December 2017 Aviva Pension BlackRock (40:60) Global Equity Index Tracker FP This factsheet provides factual information only. The information shown should not be used in isolation for making

More information

Monthly Fund update. Goldman Sachs CORE Equity Portfolios Harnessing the Power of Big Data

Monthly Fund update. Goldman Sachs CORE Equity Portfolios Harnessing the Power of Big Data Goldman Sachs CORE Equity Portfolios Harnessing the Power of Big Data We believe the cornerstone of successful active investing is uncovering opportunity before the broader market prices it in. GSAM has

More information

Aviva Pension Schroder Managed EP

Aviva Pension Schroder Managed EP Pension Fund December 2018 Aviva Pension Schroder Managed EP This factsheet provides factual information only. The information shown should not be used in isolation for making buying and selling decisions.

More information

FIDELITY ASIAN VALUES PLC 31 DECEMBER 2018

FIDELITY ASIAN VALUES PLC 31 DECEMBER 2018 Investment Objective To achieve longterm capital growth through investment principally in the stockmarkets of the Asian Region (excluding Japan). Investment Trust Facts Launch date: Portfolio manager:

More information

Pension Fund June 2018

Pension Fund June 2018 Pension Fund June 2018 Aviva Pension Baillie Gifford International FP This factsheet provides factual information only. The information shown should not be used in isolation for making buying and selling

More information

GLOBAL DIVIDEND FUND W - ACC SHARES 31 MAY 2017

GLOBAL DIVIDEND FUND W - ACC SHARES 31 MAY 2017 Global Dividend W - ACC Shares 31 MAY 017 Approach and Style Daniel Roberts uses a bottom-up approach to invest in companies that offer a healthy yield underpinned by a growing level of income, as well

More information

LEGAL & GENERAL LIFE FIDELITY MULTI ASSET STRATEGIC FUND.

LEGAL & GENERAL LIFE FIDELITY MULTI ASSET STRATEGIC FUND. AN EQUITY FUND 31 JULY 2017 01 LEGAL & GENERAL LIFE FIDELITY MULTI ASSET STRATEGIC FUND. FUND FACTS Product(s) Portfolio Bond (IPS) Launch date 6 April 2011 Legal & General life fund size 14.6 million

More information

IXUS ishares Core MSCI Total International Stock ETF

IXUS ishares Core MSCI Total International Stock ETF ishares Core MSCI Total International Stock ETF ETF.com segment: Equity: Global Ex-U.S. - Total Market Competing ETFs: VEU, VXUS, ACWX, CWI, DBAW Related ETF Channels: Total Market, Vanilla, Equity, Global

More information

INVESCO PERPETUAL CORPORATE BOND.

INVESCO PERPETUAL CORPORATE BOND. A BOND FUND 30 NOVEMBER 2016 01 INVESCO PERPETUAL CORPORATE BOND. FUND FACTS Product(s) ICVC/NISA Launch date 24 July 1995 Class launch date 31 May 2007 Fund size 4,918.6 million Number of holdings 311

More information

Pension Fund May 2018

Pension Fund May 2018 Pension Fund May 2018 Aviva Pension Investment Trust Portfolio LMP This factsheet provides factual information only. The information shown should not be used in isolation for making buying and selling

More information

BlackRock Global Government Bond Fund A2 USD

BlackRock Global Government Bond Fund A2 USD BLACKROCK GLOBAL FUNDS BlackRock Global Government Bond MAY 2018 FACTSHEET Unless otherwise specified, all information applies to A2 share class in the 's base currency only as of the month end. Performance,

More information

Additional series available. Morningstar TM Rating - Funds in category. Equity style Market cap %

Additional series available. Morningstar TM Rating - Funds in category. Equity style Market cap % Sun Life JPMorgan International Equity fund Series A $9.249 CAD Net asset value per security (NAVPS) as of September 12, 2018 $-0.0659-0.71% Benchmark MSCI ACWI ex US Index C$ Fund category International

More information

FIDELITY ASIAN VALUES PLC 31 JANUARY 2019

FIDELITY ASIAN VALUES PLC 31 JANUARY 2019 Investment Objective To achieve longterm capital growth through investment principally in the stockmarkets of the Asian Region (excluding Japan). Investment Trust Facts Launch date: Portfolio manager:

More information

FIDELITY ASIAN VALUES PLC 31 OCTOBER 2018

FIDELITY ASIAN VALUES PLC 31 OCTOBER 2018 Investment Objective To achieve longterm capital growth through investment principally in the stockmarkets of the Asian Region (excluding Japan). Investment Trust Facts Launch date: Portfolio manager:

More information

Pension Fund December 2018

Pension Fund December 2018 Pension Fund December 2018 Aviva Pen Standard Life Inv Global Absolute Ret Strat EP S3 This factsheet provides factual information only. The information shown should not be used in isolation for making

More information

FIDELITY ASIAN VALUES PLC 30 SEPTEMBER 2018

FIDELITY ASIAN VALUES PLC 30 SEPTEMBER 2018 Investment Objective To achieve longterm capital growth through investment principally in the stockmarkets of the Asian Region (excluding Japan). Investment Trust Facts Launch date: Portfolio manager:

More information

Pension Fund December 2018

Pension Fund December 2018 Pension Fund December 2018 Aviva Pen BlackRock Over 5 Year Idx- Linked Gilt Idx Tracker EP / SP S1 This factsheet provides factual information only. The information shown should not be used in isolation

More information

Pension Fund November 2018

Pension Fund November 2018 Pension Fund November 2018 Aviva Pension BlackRock US Equity Index Tracker EP / EP S1 This factsheet provides factual information only. The information shown should not be used in isolation for making

More information

Pension Fund September 2018

Pension Fund September 2018 Pension Fund September 2018 Aviva Pension North America Equities AP This factsheet provides factual information only. The information shown should not be used in isolation for making buying and selling

More information

Pension Fund September 2018

Pension Fund September 2018 Pension Fund September 2018 Aviva Pension BlackRock (60:40) Global Equity (Ascent Life ) EP / IE / XE This factsheet provides factual information only. The information shown should not be used in isolation

More information

FTSE All-World GDP Weighted

FTSE All-World GDP Weighted FTSE Russell Factsheet FTSE All-World GDP Weighted Indices Data as at: 31 August 2018 bmktitle1 The FTSE GDP Weighted Index Series is designed to reflect the performance of constituent companies in an

More information

Aviva Pension UK Equity LMP / FPP

Aviva Pension UK Equity LMP / FPP Pension Fund December 2018 Aviva Pension UK Equity LMP / FPP This factsheet provides factual information only. The information shown should not be used in isolation for making buying and selling decisions.

More information

Pension Fund December 2018

Pension Fund December 2018 Pension Fund December 2018 Aviva Pension Baillie Gifford American FP This factsheet provides factual information only. The information shown should not be used in isolation for making buying and selling

More information

FTSE All-World GDP Weighted

FTSE All-World GDP Weighted FTSE Russell Factsheet FTSE All-World GDP Weighted Indices Data as at: 30 April 2018 bmktitle1 The FTSE GDP Weighted Index Series is designed to reflect the performance of constituent companies in an index

More information

Pension Fund May 2018

Pension Fund May 2018 Pension Fund May 2018 Aviva Pension My Future Plus Annuity XE This factsheet provides factual information only. The information shown should not be used in isolation for making buying and selling decisions.

More information

Pension Fund September 2018

Pension Fund September 2018 Pension Fund September 2018 Aviva Pension Newton Multi-Asset Growth IE/XE This factsheet provides factual information only. The information shown should not be used in isolation for making buying and selling

More information

Aviva Pension Pacific Basin FP

Aviva Pension Pacific Basin FP Pension Fund December 2018 Aviva Pension Pacific Basin FP This factsheet provides factual information only. The information shown should not be used in isolation for making buying and selling decisions.

More information

Aviva Pension Newton Real Return FP

Aviva Pension Newton Real Return FP Pension Fund December 2018 Aviva Pension Newton Real Return FP This factsheet provides factual information only. The information shown should not be used in isolation for making buying and selling decisions.

More information

Pension Fund April 2018

Pension Fund April 2018 Pension Fund April 2018 Aviva Pension BlackRock All Stocks UK Gilt Index Tracker FP This factsheet provides factual information only. The information shown should not be used in isolation for making buying

More information

Life Fund December 2017

Life Fund December 2017 Life Fund December 2017 Aviva Life Schroder MM Diversity AL / PSB This factsheet provides factual information only. The information shown should not be used in isolation for making buying and selling decisions.

More information

Performance of Foreign Mutual Funds marketed in Portugal

Performance of Foreign Mutual Funds marketed in Portugal 10 21 30 31 42 47 48 49 51 73 74 85 75 76 77 79 86 Performance of Foreign Mutual Funds marketed in Portugal Date: 02/09/2016 DISCLAIMER The information contained in this file has been drawn up in accordance

More information

Pension Fund November 2018

Pension Fund November 2018 Pension Fund November 2018 Aviva Pension AXA Framlington Managed Balanced EP S3 This factsheet provides factual information only. The information shown should not be used in isolation for making buying

More information

Investec Asian Equity Fund

Investec Asian Equity Fund GSF HK FACTSHEET Investec Asian Equity Fund 'A' Shares, USD As at end May 2018 Important information The Fund Invests primarily in equities in Asia excluding Japan. The Fund invests in emerging markets

More information

Janus Henderson China Opportunities I Acc

Janus Henderson China Opportunities I Acc Fund Summary Quick Stats Citi Code 060G FE Crown Rating Price Date 11/01/2018 ISIN Code SEDOL Code GB00B5T7PM36 B5T7PM3 Morningstar Analyst Rating Bronze Mid Price 222.40p (+0.60p) S&P Capital IQ Grading

More information

Pension Fund September 2018

Pension Fund September 2018 Pension Fund September 2018 Aviva Pension Invesco Perpetual Global Smaller Companies IE/XE This factsheet provides factual information only. The information shown should not be used in isolation for making

More information

Pension Fund May 2018

Pension Fund May 2018 Pension Fund May 2018 Aviva Pension BlackRock (60:40) Global Equity Index Tracker FP This factsheet provides factual information only. The information shown should not be used in isolation for making buying

More information

Additional series available. Morningstar TM Rating. Funds in category. Equity style Market cap % Giant 71.7 Large 20.3 Medium 8.0 Small 0.0 Micro 0.

Additional series available. Morningstar TM Rating. Funds in category. Equity style Market cap % Giant 71.7 Large 20.3 Medium 8.0 Small 0.0 Micro 0. Sun Life Excel China Fund Series A Additional series available Note: On June 18, 2018, the Excel China Fund changed its name to the Sun Life Excel China Fund. $3.6904 CAD Net asset value per security (NAVPS)

More information

LEGAL & GENERAL PENSION THREADNEEDLE MANAGED EQUITY AND BOND FUND.

LEGAL & GENERAL PENSION THREADNEEDLE MANAGED EQUITY AND BOND FUND. A MIXED FUND 30 JUNE 2017 01 LEGAL & GENERAL PENSION THREADNEEDLE MANAGED EQUITY AND BOND FUND. FUND FACTS Product(s) Portfolio Plus SIPP (ESF/BPWM) Launch date 10 April 2006 Legal & General pension fund

More information

Pension Fund February 2018

Pension Fund February 2018 Pension Fund February 2018 Aviva Pension AXA Framlington Managed Balanced AP This factsheet provides factual information only. The information shown should not be used in isolation for making buying and

More information

FPI Aberdeen Global Asia Pacific Equity USD

FPI Aberdeen Global Asia Pacific Equity USD OLAB fund factsheet FPI Aberdeen Global Asia Pacific Equity USD October 2018 This factsheet is for information only and should not be considered a financial promotion. The information shown should not

More information

Principal Asia Pacific High Dividend Equity Fund Grasp the Chance for Yielding Growth and Income! August 2018

Principal Asia Pacific High Dividend Equity Fund Grasp the Chance for Yielding Growth and Income! August 2018 Principal Prosperity Series Principal Asia Pacific High Dividend Equity Fund Grasp the Chance for Yielding Growth and Income! August 218 Important Notes 1. The Principal Asia Pacific High Dividend Equity

More information

M&G STRATEGIC CORPORATE BOND.

M&G STRATEGIC CORPORATE BOND. A BOND FUND 28 FEBRUARY 2017 01 M&G STRATEGIC CORPORATE BOND. USING THIS FUND FACTSHEET FUND FACTS When you invest in a unit trust, OEIC or NISA, your money buys units or shares in one or more funds. These

More information

LEGAL & GENERAL PENSION JUPITER MERLIN GROWTH PORTFOLIO FUND.

LEGAL & GENERAL PENSION JUPITER MERLIN GROWTH PORTFOLIO FUND. A MIXED FUND 30 JUNE 2017 01 LEGAL & GENERAL PENSION JUPITER MERLIN GROWTH PORTFOLIO FUND. FUND FACTS Product(s) Portfolio Plus SIPP (ESF/BPWM) Launch date 10 April 2006 Legal & General pension fund size

More information

LEGAL & GENERAL LIFE JUPITER MERLIN GROWTH PORTFOLIO FUND.

LEGAL & GENERAL LIFE JUPITER MERLIN GROWTH PORTFOLIO FUND. A MIXED FUND 31 JULY 2017 01 LEGAL & GENERAL LIFE JUPITER MERLIN GROWTH PORTFOLIO FUND. FUND FACTS Product(s) Portfolio Bond (IPS) Launch date 1 July 2005 Legal & General life fund size 51.5 million Overall

More information

Aviva Pension M&G Optimal Income FP

Aviva Pension M&G Optimal Income FP Pension Fund July 2018 Aviva Pension M&G Optimal Income FP This factsheet provides factual information only. The information shown should not be used in isolation for making buying and selling decisions.

More information

Life Fund December 2018

Life Fund December 2018 Life Fund December 2018 Aviva Life Invesco Perpetual Global Bond FPL This factsheet provides factual information only. The information shown should not be used in isolation for making buying and selling

More information

Pension Fund August 2018

Pension Fund August 2018 Pension Fund August 2018 Aviva Pension BlackRock DC Diversified Growth IE This factsheet provides factual information only. The information shown should not be used in isolation for making buying and selling

More information

Pension Fund August 2018

Pension Fund August 2018 Pension Fund August 2018 Aviva Pen Standard Life Inv Global Absolute Ret Strat FP This factsheet provides factual information only. The information shown should not be used in isolation for making buying

More information

Pension Fund July 2018

Pension Fund July 2018 Pension Fund July 2018 Aviva Pension Europe ex UK Equities AP This factsheet provides factual information only. The information shown should not be used in isolation for making buying and selling decisions.

More information

Pension Fund April 2018

Pension Fund April 2018 Pension Fund April 2018 Aviva Pension BlackRock Corporate Bond All Stocks Index Tracker FP This factsheet provides factual information only. The information shown should not be used in isolation for making

More information

Aviva Pension My Future Annuity IE

Aviva Pension My Future Annuity IE Pension Fund July 2018 Aviva Pension My Future Annuity IE This factsheet provides factual information only. The information shown should not be used in isolation for making buying and selling decisions.

More information

Pension Fund August 2018

Pension Fund August 2018 Pension Fund August 2018 Aviva Pension Legal & General (PMC) Global Real Estate Equity Index FP This factsheet provides factual information only. The information shown should not be used in isolation for

More information

Pension Fund March 2018

Pension Fund March 2018 Pension Fund March 2018 Aviva Pension Balanced Index Enhanced Fund of Funds FP This factsheet provides factual information only. The information shown should not be used in isolation for making buying

More information

Aviva Pension Fidelity European EP S3

Aviva Pension Fidelity European EP S3 Pension Fund June 2018 Aviva Pension Fidelity European EP S3 This factsheet provides factual information only. The information shown should not be used in isolation for making buying and selling decisions.

More information

Aviva Pension Japan Equities AP

Aviva Pension Japan Equities AP Pension Fund September 2018 Aviva Pension Japan Equities AP This factsheet provides factual information only. The information shown should not be used in isolation for making buying and selling decisions.

More information