PORTFOLIO USCAN REPORT
|
|
- Meredith Fletcher
- 5 years ago
- Views:
Transcription
1 Portfolio currency: Report generated date: Performance start date: Performance end date: Selected benchmark: Weighted Sector Average Portfolio Analysis Historic risk score Prospective risk score Historic Risk Score The historic portfolio risk level represents the historic volatility over the period 30/06/2014 to 30/06/2017, and takes into account the changing composition of the portfolio over that period of time. Prospective Risk Score The prospective portfolio risk level represents the expected level of future volatility of the combination of asset classes determined by using objective mathematical modelling tools taking into account past data and implied market data in the future. This derivation is based on the current asset class composition of the portfolio. Portfolio holdings as at Funds of portfolio as at Old Mutual GblEqAbsRtn U2Hg Acc Old Mutual Nw Gbl Inc U2 A Old Mutual North Am Equity U2 A Old Mutual Invesco Perp Asn U2 A Old Mutual Hendrsn Eurpn U2 A Old Mutual Abdn As Pac U2 Acc Old Mutual Schroder Tokyo U2 A Old Mutual Blckrk Gd & Gnr U2 A Old Mutual ARGB U2 Acc Old Mutual Artemis Income U2 Acc Old Mutual GblEmgMkts U2 Acc Old Mutual JPM Emg Mkts U2 Acc Old Mutual Schrdr US MidCap U2 A Old Mutual UK Alp U2 A Old Mutual SchdrErpnAl U2 A Old Mutual Trdndl EupnSel U2 A OMJPMUSGrwthAdvtg U2 Acc Old Mutual Woodford Eq Inc U2 A Date that the data for each holding was last updated
2 Portfolio holdings (continued) Funds of portfolio as at Old Mutual US Div U2 Acc Old Mutual Newton UK Opps U2 A Old Mutual Artms UK Spl Sits U2 Acc Old Mutual Asia Pacific U2 Acc Old Mutual Eur(ExUK)SmCo U2 Acc Old Mutual Hend Chn Opps U2 Acc Old Mutual UK Equity Income U2 A Henderson UK Prop PAIF Fdr U2 Acc Date that the data for each holding was last updated
3 Split by asset class PORTFOLIO: BENCHMARK: Asia Pac. Equities (23.90) North American Equities (19.57) Unknown (17.71) UK Equities (16.11) European Equities (12.79) Other (4.95) Int'l Equities (1.82) Money Market (1.81) Property (1.03) Fixed Interest (0.31) Asia Pac. Equities (25.02) North American Equities (16.40) UK Equities (15.84) European Equities (15.14) Other (8.87) Int'l Equities (8.75) Unknown (4.91) Money Market (3.77) Property (1.01) Fixed Interest (0.29) Portfolio breakdown per holding Henderson UK Prop PAIF Fdr U2 Acc Asia Pacific Equities North American Equities Unknown UK Equities European Equities Other Money Market International Equities Property Fixed Interest Total held Old Mutual Abdn As Pac U2 Acc Old Mutual ARGB U2 Acc Old Mutual Artemis Income U2 Acc Old Mutual Artms UK Spl Sits U2 Acc Old Mutual Asia Pacific U2 Acc Old Mutual Blckrk Gd & Gnr U2 A Old Mutual Eur(ExUK)SmCo U2 Acc Old Mutual GblEmgMkts U2 Acc Old Mutual GblEqAbsRtn U2Hg Acc Old Mutual Hend Chn Opps U2 Acc Old Mutual Hendrsn Eurpn U2 A Old Mutual Invesco Perp Asn U2 A Old Mutual JPM Emg Mkts U2 Acc Old Mutual Newton UK Opps U2 A Old Mutual North Am Equity U2 A Old Mutual Nw Gbl Inc U2 A Old Mutual SchdrErpnAl U2 A Old Mutual Schrdr US MidCap U2 A Old Mutual Schroder Tokyo U2 A Old Mutual Trdndl EupnSel U2 A Old Mutual UK Alp U2 A Subtotal
4 Split by asset class (continued) PORTFOLIO: BENCHMARK: Asia Pac. Equities (23.90) North American Equities (19.57) Unknown (17.71) UK Equities (16.11) European Equities (12.79) Other (4.95) Int'l Equities (1.82) Money Market (1.81) Property (1.03) Fixed Interest (0.31) Asia Pac. Equities (25.02) North American Equities (16.40) UK Equities (15.84) European Equities (15.14) Other (8.87) Int'l Equities (8.75) Unknown (4.91) Money Market (3.77) Property (1.01) Fixed Interest (0.29) Old Mutual UK Equity Income U2 A Asia Pacific Equities North American Equities Unknown UK Equities European Equities Other Money Market International Equities Property Fixed Interest Total held Old Mutual US Div U2 Acc Old Mutual Woodford Eq Inc U2 A OMJPMUSGrwthAdvtg U2 Acc Portfolio Benchmark - Weighted Sector Average Minor rounding discrepancies may occur in the asset class breakdown.
5 Split by geographical region PORTFOLIO: BENCHMARK: North America (28.19) Asia Pacific (21.37) UK (18.04) Europe (15.89) Japan (7.36) Unknown (6.46) Money Market (1.36) Americas (0.96) Other (0.59) Middle East/ Africa (0.44) North America (22.92) Asia Pacific (21.62) Europe (19.04) UK (18.65) Other (6.09) Japan (6.02) Money Market (3.40) Americas (1.52) Middle East/ Africa (0.74) Portfolio breakdown per holding Henderson UK Prop PAIF Fdr U2 Acc North America Asia Pacific Europe UK Japan Unknown Money Market Americas Middle East/ Africa Other Total held Old Mutual Abdn As Pac U2 Acc Old Mutual ARGB U2 Acc Old Mutual Artemis Income U2 Acc Old Mutual Artms UK Spl Sits U2 Acc Old Mutual Asia Pacific U2 Acc Old Mutual Blckrk Gd & Gnr U2 A Old Mutual Eur(ExUK)SmCo U2 Acc Old Mutual GblEmgMkts U2 Acc Old Mutual GblEqAbsRtn U2Hg Acc Old Mutual Hend Chn Opps U2 Acc Old Mutual Hendrsn Eurpn U2 A Old Mutual Invesco Perp Asn U2 A Old Mutual JPM Emg Mkts U2 Acc Old Mutual Newton UK Opps U2 A Old Mutual North Am Equity U2 A Old Mutual Nw Gbl Inc U2 A Old Mutual SchdrErpnAl U2 A Old Mutual Schrdr US MidCap U2 A Old Mutual Schroder Tokyo U2 A Old Mutual Trdndl EupnSel U2 A Old Mutual UK Alp U2 A Subtotal
6 Split by geographical region (continued) PORTFOLIO: BENCHMARK: North America (28.19) Asia Pacific (21.37) UK (18.04) Europe (15.89) Japan (7.36) Unknown (6.46) Money Market (1.36) Americas (0.96) Other (0.59) Middle East/ Africa (0.44) North America (22.92) Asia Pacific (21.62) Europe (19.04) UK (18.65) Other (6.09) Japan (6.02) Money Market (3.40) Americas (1.52) Middle East/ Africa (0.74) Old Mutual UK Equity Income U2 A North America Asia Pacific Europe UK Japan Unknown Money Market Americas Middle East/ Africa Other Total held Old Mutual US Div U2 Acc Old Mutual Woodford Eq Inc U2 A OMJPMUSGrwthAdvtg U2 Acc Portfolio Benchmark - Weighted Sector Average Minor rounding discrepancies may occur in the geographical region breakdown.
7 Split by stock sector Split by IA sector Other (44.07) Financials (10.07) Information Tech. (9.71) Unknown (8.97) Industrials (6.61) Health Care (5.94) Gold (4.12) Consumer Discretionary (4.11) Consumer Goods (3.70) Materials (2.70) IA North America (14.95) IA Targeted Absolute Return (14.91) IA Asia Pac. Exc. Japan (13.68) IA Global Eq. Inc. (9.28) IA Europe Exc. UK (8.71) IA UK Equity Income (7.37) IA UK All Companies (7.26) Other (7.24) IA Global Emerging Markets (6.74) IA Japan (5.04) IA Specialist (4.82) Portfolio breakdown per holding Henderson UK Prop PAIF Fdr U2 Acc Financials Information Technology Unknown Industrials Health Care Gold Consumer Discretionary Consumer Goods Materials Other Total held Old Mutual Abdn As Pac U2 Acc Old Mutual ARGB U2 Acc Old Mutual Artemis Income U2 Acc Old Mutual Artms UK Spl Sits U2 Acc Old Mutual Asia Pacific U2 Acc Old Mutual Blckrk Gd & Gnr U2 A Old Mutual Eur(ExUK)SmCo U2 Acc Old Mutual GblEmgMkts U2 Acc Old Mutual GblEqAbsRtn U2Hg Acc Old Mutual Hend Chn Opps U2 Acc Old Mutual Hendrsn Eurpn U2 A Old Mutual Invesco Perp Asn U2 A Old Mutual JPM Emg Mkts U2 Acc Old Mutual Newton UK Opps U2 A Old Mutual North Am Equity U2 A Old Mutual Nw Gbl Inc U2 A Old Mutual SchdrErpnAl U2 A Old Mutual Schrdr US MidCap U2 A Old Mutual Schroder Tokyo U2 A Old Mutual Trdndl EupnSel U2 A Old Mutual UK Alp U2 A Old Mutual UK Equity Income U2 A Old Mutual US Div U2 Acc Subtotal
8 Split by stock sector (continued) Split by IA sector (continued) Other (44.07) Financials (10.07) Information Tech. (9.71) Unknown (8.97) Industrials (6.61) Health Care (5.94) Gold (4.12) Consumer Discretionary (4.11) Consumer Goods (3.70) Materials (2.70) IA North America (14.95) IA Targeted Absolute Return (14.91) IA Asia Pac. Exc. Japan (13.68) IA Global Eq. Inc. (9.28) IA Europe Exc. UK (8.71) IA UK Equity Income (7.37) IA UK All Companies (7.26) Other (7.24) IA Global Emerging Markets (6.74) IA Japan (5.04) IA Specialist (4.82) Financials Information Technology Unknown Industrials Health Care Gold Consumer Discretionary Consumer Goods Materials Other Total held Old Mutual Woodford Eq Inc U2 A OMJPMUSGrwthAdvtg U2 Acc Portfolio Benchmark - Weighted Sector Average Minor rounding discrepancies may occur in the stock sector breakdown.
9 Top 10 holdings and their stock overlaps Company name and underlying assets Net assets SAMSUNG ELECTRONICS CO 1.04 Old Mutual Invesco Perp Asn U2 A 0.42 Old Mutual Abdn As Pac U2 Acc 0.25 Old Mutual GblEmgMkts U2 Acc 0.17 Old Mutual JPM Emg Mkts U2 Acc 0.11 Old Mutual Asia Pacific U2 Acc 0.09 MICROSOFT CORP 0.63 Old Mutual Nw Gbl Inc U2 A 0.53 OMJPMUSGrwthAdvtg U2 Acc 0.10 RELX NV 0.62 Old Mutual Nw Gbl Inc U2 A 0.25 Old Mutual Hendrsn Eurpn U2 A 0.23 Old Mutual Trdndl EupnSel U2 A 0.14 BP 0.49 Old Mutual Artemis Income U2 Acc 0.15 Old Mutual UK Alp U2 A 0.12 Old Mutual Artms UK Spl Sits U2 Acc 0.10 Old Mutual Newton UK Opps U2 A 0.06 Old Mutual UK Equity Income U2 A 0.06 RANDGOLD RESOURCES 0.46 Old Mutual Blckrk Gd & Gnr U2 A 0.46 GLAXOSMITHKLINE 0.43 Old Mutual Artemis Income U2 Acc 0.14 Old Mutual UK Alp U2 A 0.12 Old Mutual Artms UK Spl Sits U2 Acc 0.09 Old Mutual UK Equity Income U2 A 0.08 NEWCREST MINING 0.41 Old Mutual Blckrk Gd & Gnr U2 A 0.41 AGNICO EAGLE MINES 0.41 Old Mutual Blckrk Gd & Gnr U2 A 0.41 AIA GROUP LTD 0.40 Old Mutual Abdn As Pac U2 Acc 0.18 Old Mutual JPM Emg Mkts U2 Acc 0.12 Old Mutual Hend Chn Opps U2 Acc 0.10 TAIWAN SEMICONDUCTOR CO 0.35 Old Mutual Invesco Perp Asn U2 A 0.19 Old Mutual JPM Emg Mkts U2 Acc 0.16 of portfolio analysed = 5.24
10 Portfolio Performance and Volatility (including historic data) A summary of the transactions affecting performance can be found in the Transaction Summary and Benchmark Details sections. The performance figures do not include any product charges, regular premiums, or money in or out. Performance as a result of an added, edited, or deleted Switch is shown in the relevant charts and tables as 'Modified'. Further details of the transactions included and benchmark history can be found in the separate Transaction Report. Past performance is not a guide to future performance Cumulative performance chart 50 Portfolio Benchmark Manual switch Apr 14 Jul 14 Oct 14 Jan 15 Apr 15 Jul 15 Oct 15 Jan 16 Apr 16 Jul 16 Oct 16 Jan 17 Apr 17 Cumulative performance chart shows growth from to calculated using bid prices with income re-invested into the fund net of tax. The cumulative performance chart shows how the portfolio has performed against the benchmark taking into account the changing composition of the portfolio over the period of time shown.
11 Past performance is not a guide to future performance Risk / return chart Growth 52.0 For fund names see cumulative performance table below Portfolio Benchmark Risk (Volatility) The risk/return chart shows how a fund has performed and its volatility over the time and period shown. The chart shows growth/volatility from to calculated using bid prices with income re-invested into the fund net of tax. Funds will not show on the risk/return chart if the current portfolio contains more than 20 funds. Funds displayed are only those currently held in the portfolio, however the calculations for the portfolio and benchmark take historic transactions into account. Funds which have existed for a shorter term than the reporting period cannot be shown.
12 Transactions This table shows the dates of switches and fund events that have taken place within the portfolio over the time period of the report. Transaction Start date Current Rebalancing Rebalancing Rebalancing Rebalancing Rebalancing Fund Event Rebalancing Rebalancing Rebalancing Rebalancing Rebalancing Rebalancing Rebalancing Fund Event Rebalancing Start For details of Switches which have been added, edited or deleted within Uscan, please see the Transaction Report. Performance to Past performance is not a guide to future performance Cumulative performance - growth Key 1 mth 3 mths 6 mths 1 yr 2 yrs 3 yrs 4 yrs 5 yrs Since Portfolio Benchmark - Weighted Sector Average Difference: Portfolio Vs Benchmark The Cumulative Performance Table shows how the portfolio has performed, taking into account the changing composition of the portfolio over the period of time shown. This table only includes those transactions that appear in the Transaction Summary.
13 Past performance is not a guide to future performance. Plan start date is 24/02/2014. Year by year to month end shown - growth Portfolio Benchmark - Weighted Sector Average Rolling volatility chart Historic volatility chart: The Rolling Volatility Chart requires a reporting period of greater than 4 years in order to display. Benchmark Details The benchmark details shown below are based on the current benchmark position. Sector Risk Number of benchmark as at UT Asia Pacific Excluding Japan UT North America FO Hedge/Stru Prod - Equity UT Global Equity Income UT Europe Excluding UK UT UK Equity Income UT UK All Companies UT Japan UT Specialist FO Absolute Return FO Equity - Emerging Markets UT Global Emerging Markets UT Europe Including UK FO Equity - USA FO Equity - Small Cap Europe UT China/Greater China UT Property Benchmark risk number: When calculating the past performance for this portfolio the percentage holdings for each component have been applied at the Start of the performance period. Further details of the benchmark history can be seen in the transaction report.
14 Performance ratios - over 3 years Historic risk score Prospective risk score Historic Risk Score The historic portfolio risk level represents the historic volatility over the period 30/06/2014 to 30/06/2017, and takes into account the changing composition of the portfolio over that period of time. Prospective Risk Score The prospective portfolio risk level represents the expected level of future volatility of a combination of the asset classes determined by using objective mathematical modelling tools taking into account past data and implied market data in the future. This derivation is based on the current asset class composition of the portfolio. Risk Number Volatility Alpha Beta Sharpe Information Ratio Portfolio Tracking Error R Squared Max Loss Max Gain Negative periods Positive periods Portfolio Performance ratios calculated over 3 years from to
15 Individual Fund's Performance to Past performance is not a guide to future performance Cumulative performance - growth Key 1 mth 3 mths 6 mths 1 yr 2 yrs 3 yrs 4 yrs 5 yrs Since Henderson UK Prop PAIF Fdr U2 Acc Old Mutual Abdn As Pac U2 Acc ^ Old Mutual ARGB U2 Acc Old Mutual Artemis Income U2 Acc^ Old Mutual Artms UK Spl Sits U2 Acc^ Old Mutual Asia Pacific U2 Acc^ Old Mutual Blckrk Gd & Gnr U2 A ^ Old Mutual Eur(ExUK)SmCo U2 Acc Old Mutual GblEmgMkts U2 Acc ^ Old Mutual GblEqAbsRtn U2Hg Acc Old Mutual Hend Chn Opps U2 Acc ^ Old Mutual Hendrsn Eurpn U2 A ^ Old Mutual Invesco Perp Asn U2 A ^ Old Mutual JPM Emg Mkts U2 Acc ^ Old Mutual Newton UK Opps U2 A ^ Old Mutual North Am Equity U2 A ^ Old Mutual Nw Gbl Inc U2 A ^ Old Mutual SchdrErpnAl U2 A Old Mutual Schrdr US MidCap U2 A ^ Old Mutual Schroder Tokyo U2 A ^ Old Mutual Trdndl EupnSel U2 A ^ Old Mutual UK Alp U2 A Old Mutual UK Equity Income U2 A ^ Old Mutual US Div U2 Acc ^ Old Mutual Woodford Eq Inc U2 A OMJPMUSGrwthAdvtg U2 Acc The Cumulative Performance Table shows how the funds currently held within the portfolio have performed over the period of time shown.
16 Past performance is not a guide to future performance. Year by year to month end shown - growth Henderson UK Prop PAIF Fdr U2 Acc Old Mutual Abdn As Pac U2 Acc ^ Old Mutual ARGB U2 Acc Old Mutual Artemis Income U2 Acc^ Old Mutual Artms UK Spl Sits U2 Acc^ Old Mutual Asia Pacific U2 Acc^ Old Mutual Blckrk Gd & Gnr U2 A ^ Old Mutual Eur(ExUK)SmCo U2 Acc Old Mutual GblEmgMkts U2 Acc ^ Old Mutual GblEqAbsRtn U2Hg Acc Old Mutual Hend Chn Opps U2 Acc ^ Old Mutual Hendrsn Eurpn U2 A ^ Old Mutual Invesco Perp Asn U2 A ^ Old Mutual JPM Emg Mkts U2 Acc ^ Old Mutual Newton UK Opps U2 A ^ Old Mutual North Am Equity U2 A ^ Old Mutual Nw Gbl Inc U2 A ^ Old Mutual SchdrErpnAl U2 A Old Mutual Schrdr US MidCap U2 A ^ Old Mutual Schroder Tokyo U2 A ^ Old Mutual Trdndl EupnSel U2 A ^ Old Mutual UK Alp U2 A Old Mutual UK Equity Income U2 A ^ Old Mutual US Div U2 Acc ^ Old Mutual Woodford Eq Inc U2 A OMJPMUSGrwthAdvtg U2 Acc The Year by Year to month end Performance Table shows how the funds currently held within the portfolio have performance over the period of time shown.
17 Ratings Morningstar Analyst Rating TM Crown Rating Citywire Rating Rayner Spencer Mills Rating Alpha Manager Rating Henderson UK Prop PAIF Fdr U2 Acc - Rated - Old Mutual Abdn As Pac U2 Acc Old Mutual ARGB U2 Acc - Rated - Old Mutual Artemis Income U2 Acc Old Mutual Artms UK Spl Sits U2 Acc Old Mutual Asia Pacific U2 Acc - - Old Mutual Blckrk Gd & Gnr U2 A Old Mutual Eur(ExUK)SmCo U2 Acc Rated - Old Mutual GblEmgMkts U2 Acc - - Old Mutual GblEqAbsRtn U2Hg Acc - Rated - Old Mutual Hend Chn Opps U2 Acc Old Mutual Hendrsn Eurpn U2 A Old Mutual Invesco Perp Asn U2 A Old Mutual JPM Emg Mkts U2 Acc Old Mutual Newton UK Opps U2 A Old Mutual North Am Equity U2 A Rated - Old Mutual Nw Gbl Inc U2 A Old Mutual SchdrErpnAl U2 A Old Mutual Schrdr US MidCap U2 A Old Mutual Schroder Tokyo U2 A Old Mutual Trdndl EupnSel U2 A Old Mutual UK Alp U2 A - Rated - Old Mutual UK Equity Income U2 A - UnderReview - Old Mutual US Div U2 Acc Old Mutual Woodford Eq Inc U2 A OMJPMUSGrwthAdvtg U2 Acc - - -
18 Other information Fund launch date Henderson UK Prop PAIF Fdr U2 Acc m IA Property Fund size Industry sector Fund manager Old Mutual Abdn As Pac U2 Acc m IA Asia Pacific Excluding Japan Old Mutual ARGB U2 Acc IA Targeted Absolute Return Old Mutual Artemis Income U2 Acc m IA UK Equity Income Old Mutual Artms UK Spl Sits U2 Acc m IA UK All Companies Old Mutual Asia Pacific U2 Acc m IA Asia Pacific Excluding Japan Old Mutual Blckrk Gd & Gnr U2 A m IA Specialist Marcus Langlands Pearse Ainslie McLennan Aberdeen Asset Managers Limited Adam Purzitsky Paul Shanta Artemis investment LLP Artemis investment LLP Ian Heslop Mike Servent Amadeo Alentorn Blackrock Investment (Uk) Ltd Fund manager start date Old Mutual Eur(ExUK)SmCo U2 Acc m IA European Smaller Companies Ian Ormiston Old Mutual GblEmgMkts U2 Acc m IA Global Emerging Markets Ken Fisher Old Mutual GblEqAbsRtn U2Hg Acc m IA Targeted Absolute Return Old Mutual Hend Chn Opps U2 Acc m IA China/Greater China Old Mutual Hendrsn Eurpn U2 A m IA Europe Excluding UK Old Mutual Invesco Perp Asn U2 A m IA Asia Pacific Excluding Japan Old Mutual JPM Emg Mkts U2 Acc m IA Global Emerging Markets Old Mutual Newton UK Opps U2 A m IA UK All Companies Old Mutual North Am Equity U2 A m IA North America Ian Heslop Mike Servent Amadeo Alentorn Henderson Global Investors Limited Henderson Global Investors Limited Invesco Asset Limited JPMorgan Asset (UK) Limited Newton Investment Ian Heslop Mike Servent Amadeo Alentorn
19 Other information (continued) Fund launch date Fund size Industry sector Fund manager Old Mutual Nw Gbl Inc U2 A m IA Global Equity Income Newton Investment Fund manager start date Old Mutual SchdrErpnAl U2 A m IA Unclassified - - Old Mutual Schrdr US MidCap U2 A m IA North America Old Mutual Schroder Tokyo U2 A m IA Japan Old Mutual Trdndl EupnSel U2 A m IA Europe Excluding UK Schroder Investment Schroder Investment Threadneedle Asset Limited Old Mutual UK Alp U2 A m IA UK All Companies Richard Buxton Old Mutual UK Equity Income U2 A m IA UK Equity Income Ed Meier Old Mutual US Div U2 Acc m IA North America Old Mutual Woodford Eq Inc U2 A m IA UK Equity Income OMJPMUSGrwthAdvtg U2 Acc m IA North America Ray Nixon Lewis Ropp Brian Quinn Woodford Investment LLP Threadneedle Asset Limited
20 Important Information This communication is designed for use by professional financial advisers. It is not intended as a promotion of a particular fund, or funds. Past performance for the funds marked ^ has been based on prices that include simulated values. All performances are inclusive of any net reinvested income and exclusive of any reinvested rebates. Please refer to for further information about the terms used in this document. All the performance information shown is in the fund currency indicated on the first page of this report. The performance figures do not include any product charges; relevant additional charges will affect the return from any particular product. For ISA the performance does not allow for tax reclaims that have been available at various times in the past. Holdings in cash deposit are displayed on these reports where applicable however, 0 performance and volatility is assumed. Cash deposit holdings are not included when calculating a portfolio's prospective risk score. Fund growth is calculated using bid prices with income re-invested back into the fund net of tax. For fund or sector average benchmarks the growth is also calculated net of tax. Any benchmark against which the fund is compared has been selected by the Financial Adviser and Old Mutual Wealth have not verified that the benchmark is appropriate for the fund. As funds in the following sectors do not meet and pre-set parameters, it may be inappropriate to compare them on a like-for-like basis. Unit trust and OEIC sectors: Unclassified, IA Specialist. Life and Pension sectors: ABI Specialist, ABI Unclassified. Unit prices, and the income from units, may fall as well as rise. An investor may not get back the amount invested. Switches The report shows how the portfolio has performed over the period shown, where it is currently invested, and the portfolio s risk level. The past performance and risk assessment calculations include any fund switches made during the reporting period, as well as any fund events such as fund mergers. These figures do not include any product charges, regular premiums, or money in and money out transactions. Switches may be based on actual transactions from a client's plan or example transactions that a Financial Adviser has created/added. Any changes made to switches are the responsibility of the Financial Adviser. Any incomplete transactions on your client's plan are excluded from appearing i.e. where a trade has not settled. Corrective transactions are included in the report where a switch may have originally been submitted incorrectly. Performance Calculation Methodologies 1) Historic Portfolio Positions Excluded Start Date Methodology If the portfolio excludes transactions, then it is assumed that the current portfolio holding has existed throughout the requested time period. This means that when calculating the past performance for this selected portfolio the specified percentage holdings per fund in the portfolio are assumed to be held at the start of the performance period as opposed to the end of the performance period. This means that we have derived the relative percentage holdings in the constituent funds at the end date based on the actual performance of the constituent funds over the performance period to arrive at the specified percentage holdings on the start date. 2) Historic Portfolio Positions Included If the portfolio includes transactions, then the report will track the portfolio performance taking into account the changes in portfolio composition over the requested time period. This means that when calculating past performance, the specified percentage holdings per fund in the portfolio upon completion of each transaction are assumed to be held from the transaction date. Performance calculations are applied from this date until the date of the next transaction or as in the case of the most recent one, until the date the report is run. This means that the investment holdings at the end of the performance period i.e. between two transaction dates, will have moved away from the initial allocation split depending on the relative performance of the constituent assets. Information Source: FE This FE sourced information is provided to you by Old Mutual Wealth Group and is used at your own risk. FE take care to ensure that the information provided is correct. Neither FE or Old Mutual Wealth Group warrants, represents nor guarantees the contents of the information, nor do they accept any responsibility for error, inaccuracies, omissions or any inconsistencies herein.
21 Portfolio Risk Numbers: Historic This is based on historic volatility, as measured by standard deviation of returns, of the portfolio of funds over the past 3 years. The historic volatility is then translated to the portfolio risk level which is a whole number ranging from 1 (least risky) to 10 (most risky). This translation is consistent with the methodology used in Old Mutual Wealth's online portfolio construction tools and is based on Modern Portfolio Theory. Prospective The portfolio risk level represents the expected level of future volatility of the combination of asset classes determined by using objective mathematical modelling tools taking into account past data and implied market data about the future. Fund Risk Number: The fund risk score is based on historic volatility, as measured by standard deviation of returns, of the fund over the indicated time period. The historic volatility is then translated to the fund risk level which is a whole number ranging from 1 (least risky) to 10 (most risky). Fund risk scores provide a retrospective view of a fund's volatility, which may vary widely over different time periods, and are not necessarily indicative of a fund's future volatility. Ratings: The Crown Ratings are assigned by Financial Express Holdings Limited and are for reference only. The Crown Ratings are compiled using three key measurements of an underlying fund's performance - alpha, volatility and consistency. An underlying fund will have higher crown rating, if it has superior consistent performance in relation to risk, relative to their peer groups. One crown being the lowest rating, and five crowns being the highest. No crowns means the underlying fund has not been rated. These ratings will be reviewed by Financial Express Holdings Limited on a regular basis. Citywire Ratings: Source & Copyright : Citywire Financial Publishers Limited. Citywire Fund Manager Ratings are based are based on the risk-adjusted track records of individual fund managers over three years. The Citywire Fund Manager Ratings are based on the performance of the fund manager across all the funds he or she has managed at any point during the last three years - not just the funds they are currently managing. More details at Morningstar provides independent fund ratings which aim to be predictive in nature. The ratings are determined following in-depth qualitative and quantitative analysis. Funds are reviewed regularly and ratings adjusted to reflect any changes in investment style or approach. From time to time a fund rating may be subject to review, in which case the rating becomes suspended. Funds which are not rated by Morningstar are shown as NR (Not rated). FE Alpha Manager Ratings are a quant-based fund manager ratings system, calculated by looking at the performance of the Individual Fund Managers across all of the funds they have managed over the last decade. They are based on 3 components: a. Risk adjusted alpha (with track record length bias) b. Consistent outperformance of a benchmark overall c. Out/Underperformance For more information visit A fund rating from Rayner Spencer Mills is based on the use of both quantitative and qualitative research, with the latter providing a forward-looking view of the manager s ability to deliver strong, consistent performance. This qualitative view is gained through face to face meetings with fund managers and is a key part of their methodology. Rather than have differing categories of rating their approach is to rate a fund, providing additional information on their fund and sector factsheets enabling advisers to make the most appropriate selection for their clients. Full fund information is available on their website at together with their fund methodology document. For more information on the investment terms used, please go to the glossary at Calls may be monitored and recorded for training purposes and to avoid misunderstandings. Old Mutual Wealth provides you with access to its investment platform. Within this platform you can open an ISA and Collective Investment Account provided by Old Mutual Wealth Ltd, a Collective Retirement Account and Collective Investment Bond provided by Old Mutual Wealth Life & Pensions Ltd and access an existing Offshore Collective Investment Bond, distributed by Old Mutual Wealth Ltd but provided by Old Mutual International (Guernsey) Limited. Old Mutual Wealth Life Assurance Ltd, Old Mutual Wealth Ltd and Old Mutual Wealth Life & Pensions Ltd are registered in England & Wales under numbers , and respectively. Registered Office at Old Mutual House, Portland Terrace, Southampton SO14 7EJ, United Kingdom. Old Mutual Wealth Life Assurance Ltd and Old Mutual Wealth Life & Pensions Ltd are authorised by the Prudential Regulation Authority and are regulated by the Financial Conduct Authority and the Prudential Regulation Authority. Old Mutual Wealth Ltd is authorised and regulated by the Financial Conduct Authority. Their Financial Services register numbers are , and respectively. VAT number for all above companies is Old Mutual International (Guernsey) Limited is regulated by the Guernsey Financial Services Commission and is licensed to write long-term business under the Insurance Business (Bailiwick of Guernsey) Law Registered number Registered Office at The Beehive, PO Box 121, Collings Road, St Peter Port, Guernsey GY1 3HE, Channel Islands. Report Reference: 5F5EFE201734
PORTFOLIO USCAN REPORT
Portfolio currency: Report generated date: 01.07.2017 Performance start date: 24.02.2014 Performance end date: 30.06.2017 Selected benchmark: Weighted Sector Average Portfolio Analysis 1 2 3 4 5 6 7 8
More informationPORTFOLIO USCAN REPORT
Portfolio currency: Report generated date: 01.07.2017 Performance start date: 26.02.2014 Performance end date: 30.06.2017 Selected benchmark: Weighted Sector Average Portfolio Analysis 1 2 3 4 5 6 7 8
More informationPORTFOLIO USCAN REPORT
Portfolio currency: Report generated date: 01.07.2017 Performance start date: 24.02.2014 Performance end date: 30.06.2017 Selected benchmark: Weighted Sector Average Portfolio Analysis 1 2 3 4 5 6 7 8
More informationPortfolio Analysis Report For January 2018
Portfolio Analysis Report For January 2018 Produced by Peter Sharratt... This report has been produced using Investment Tools supplied by Old Mutual Wealth. Old Mutual Wealth specialises in long-term savings
More informationPortfolio Analysis Report For January 2018
Portfolio Analysis Report For January 2018 Produced by Peter Sharratt... This report has been produced using Investment Tools supplied by Old Mutual Wealth. Old Mutual Wealth specialises in long-term savings
More informationBALANCED INCOME PORTFOLIO RISK
BALANCED INCOME EDITION 24 Januar y 2016 PORTFOLIO 4 RISK Cautious to Balanced Investor You don t seek risky investments but don t avoid them either. Your aim is a longer term return. You accept modest
More informationUser Guide U-Skan reports
User Guide U-Skan reports 1 Introduction to U-Skan What are U-Skan reports? - U-Skan is an interactive, graphical report. It can review a single fund, an existing client account, a model portfolio or all
More informationBALANCED INCOME PORTFOLIO RISK
BALANCED INCOME EDITION 25 July 2016 PORTFOLIO RISK 4 Cautious to but don t avoid them either. Your aim is a longer term return. risk of a moderate loss. Potential return of 22.37 & maximum loss of 12.44
More informationOld Mutual Wealth\MPP Performance Since Inception - Risk Score 8
Old Mutual Wealth\MPP Performance Since Inception - Risk Score 8 11 July 2018 Portfolio Summary Instrument Currency 6m 1y 3y 5y Portfolio Old Mutual Wealth\MPP Performance Since Inception - Risk Score
More informationPension 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 informationOld Mutual Wealth\MPP Performance Since Inception - Risk Score 7
Old Mutual Wealth\MPP Performance Since Inception - Risk Score 7 11 July 2018 Portfolio Summary Instrument Currency 6m 1y 3y 5y Portfolio Old Mutual Wealth\MPP Performance Since Inception - Risk Score
More informationAviva 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 informationLife Fund December 2018
Life Fund December 2018 Aviva Life BMO MM Navigator Moderate S2 FPL This factsheet provides factual information only. The information shown should not be used in isolation for making buying and selling
More informationAviva 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 informationPension Fund November 2018
Pension Fund November 2018 Aviva Pension AXA Wealth Elite Stockmarket Managed IE/XE This factsheet provides factual information only. The information shown should not be used in isolation for making buying
More informationPension Fund September 2018
Pension Fund September 2018 Aviva Pension Aberdeen Life UK and Global (50/50) Equity EP S3 This factsheet provides factual information only. The information shown should not be used in isolation for making
More informationEvaluating Scottish Widows Funds 1 July 2018
Evaluating Scottish Widows 1 July 2018 This information is for UK Financial Advisers use only and should not be distributed to or relied upon by any other person. Contents Pension Statistics Life Statistics
More informationEvaluating Scottish Widows Funds 1 October 2018
Evaluating Scottish Widows 1 October 2018 This information is for UK Financial Advisers use only and should not be distributed to or relied upon by any other person. Contents Pension Statistics Life Statistics
More informationPension 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 informationBALANCED HIGHER INCOME
BALANCED HIGHER INCOME EDITION 26 Janua r y 2017 PORTFOLIO RISK 6 You are aiming for higher long term returns & accept poorer performance.you accept the risk of a greater than moderate loss. Potential
More informationPension Fund August 2018
Pension Fund August 2018 Aviva Pension AXA Wealth Elite Cautious Managed EP S3 This factsheet provides factual information only. The information shown should not be used in isolation for making buying
More informationLife Fund December 2018
Life Fund December 2018 Aviva Life Janus Henderson Cautious Managed Acc FPL This factsheet provides factual information only. The information shown should not be used in isolation for making buying and
More informationLife 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 informationPension 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 informationLife 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 informationPension Fund September 2018
Pension Fund September 2018 Aviva Pension Threadneedle UK Equity Income FP This factsheet provides factual information only. The information shown should not be used in isolation for making buying and
More informationPension 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 informationAviva Pension LGIM Diversified IE/XE
Pension Fund December 2018 Aviva Pension LGIM Diversified IE/XE This factsheet provides factual information only. The information shown should not be used in isolation for making buying and selling decisions.
More informationPension 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 informationBALANCED INCOME PORTFOLIO RISK
BALANCED INCOME EDITION 30 Decem be r 2018 PORTFOLIO RISK 6 You are aiming for higher long term returns & accept poorer performance.you accept the risk of a greater than moderate loss. Potential return
More informationCONSERVATIVE PORTFOLIO
CONSERVATIVE PORTFOLIO RISK 3 You accept some risk & aim for a reasonable return. You accept the risk of a small to in value. Potential return of 17.90 & potential loss of -10.10 CONSERVATIVE PORTFOLIO
More informationPension Fund December 2018
Pension Fund December 2018 Aviva Pension Architas MA Active Intermediate Income AP This factsheet provides factual information only. The information shown should not be used in isolation for making buying
More informationDEFENSIVE PORTFOLIO. EDITION 25 July 2016 RISK
DEFENSIVE PORTFOLIO RISK 2 You prefer to take a small amount of risk to achieve returns. You accept there may be some short term Potential return of 11.93 & maximum loss of 4.93 DEFENSIVE PORTFOLIO The
More informationAviva 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 informationAviva 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 informationAviva 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 informationLife Fund July Fund aim. Underlying fund key facts. Aviva fund key facts. Aviva fund risk warning. Aviva fund risk rating
Life Fund July 2018 Aviva Life Architas MA Active Intermediate Income AL / PSB This factsheet provides factual information only. The information shown should not be used in isolation for making buying
More informationPension Fund December 2018
Pension Fund December 2018 Aviva Pension Artemis UK Special Situations IE/XE This factsheet provides factual information only. The information shown should not be used in isolation for making buying and
More informationPension 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 informationLife Fund September 2017
Life Fund September 2017 Aviva Life Invesco Perpetual Income & Growth AL This factsheet provides factual information only. The information shown should not be used in isolation for making buying and selling
More informationPension 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 informationPension 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 informationLife 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 informationLife Fund October 2018
Life Fund October 2018 Aviva Life Schroder Tokyo AL / MLC / PSB This factsheet provides factual information only. The information shown should not be used in isolation for making buying and selling decisions.
More informationPension 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 informationCONSERVATIVE ALPHA PORTFOLIO
CONSERVATIVE ALPHA PORTFOLIO RISK 4 Cautious to but don t avoid them either. Your aim is a longer term return. risk of a moderate loss. Potential return of 21.94 & potential loss of -12.80 CONSERVATIVE
More informationMANAGED PORTFOLIO FUNDS SERVICE MANAGED PORTFOLIO SERVICE
MANAGED PORTFOLIO FUNDS SERVICE MANAGED PORTFOLIO SERVICE Cautious Portfolio March 2016 The value of investments can fall and you may get back less than you invested. Past performance is not a guide to
More informationLegal & General All Stocks Gilt Index Fund LS5 UK Gilts 0.12% 0.05% 0.17% 0.06%
SELECT PORTFOLIO BOND (WEALTH MANAGERS) FUND DETAILS This document shows the fund charges, Association of British Insurers (ABI) sectors and valuation spreads for the funds available on our Select Portfolio
More informationLegal & General All Stocks Gilt Index Fund LS5 UK Gilts 0.12% 0.04% 0.16% 0.05%
SELECT PORTFOLIO bond (WEALTH MANAGERS) FUND DETAILS This document shows the fund charges, Association of British Insurers (ABI) sectors and valuation spreads for the funds available on our Select Portfolio
More informationPension 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 informationPension 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 informationPension 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 informationAviva Pension Newton Global Equity FP
Pension Fund December 2018 Aviva Pension Newton Global Equity FP This factsheet provides factual information only. The information shown should not be used in isolation for making buying and selling decisions.
More informationLife Fund November 2018
Life Fund November 2018 Aviva Life Invesco Perpetual Income AL / MLC / PSB This factsheet provides factual information only. The information shown should not be used in isolation for making buying and
More informationPension Fund September 2018
Pension Fund September 2018 Aviva Pension Cautious Index Fund of Funds FP This factsheet provides factual information only. The information shown should not be used in isolation for making buying and selling
More informationPension 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 informationPension Fund May 2018
Pension Fund May 2018 Aviva Pension Legal & General (PMC) Pre-Retirement FP This factsheet provides factual information only. The information shown should not be used in isolation for making buying and
More informationAviva 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 informationLife Fund November 2018
Life Fund November 2018 Aviva Life Janus Henderson UK Property AL / PSB This factsheet provides factual information only. The information shown should not be used in isolation for making buying and selling
More informationPension 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 informationPension 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 informationBALANCED INCOME PORTFOLIO
BALANCED INCOME PORTFOLIO RISK 4 Cautious to but don t avoid them either. Your aim is a longer term return. risk of a moderate loss. Potential return of 21.76 & potential loss of -12.97 BALANCED INCOME
More informationPension 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 informationPension Fund October 2018
Pension Fund October 2018 Aviva Pen BlackRock UK Smaller Comp Eq Idx Tracker (Aquila C) EP This factsheet provides factual information only. The information shown should not be used in isolation for making
More informationAviva Pension Newton UK Income FP
Pension Fund May 2018 Aviva Pension Newton UK Income FP This factsheet provides factual information only. The information shown should not be used in isolation for making buying and selling decisions.
More informationPreference. Fund Performance Booklet. Performance Data. Risk Rating
Performance Data This booklet contains a number of different performance measures and time periods to help you assess the fund range. The data used to arrive at the figures shown is provided by Morningstar.
More informationPension 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 informationLife Fund December 2018
Life Fund December 2018 Aviva Life Aberdeen Multi-Manager Cautious Managed Portfolio AL This factsheet provides factual information only. The information shown should not be used in isolation for making
More informationPension 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 informationPreference. Fund Performance Booklet. Performance Data. Risk Rating
Performance Data This booklet contains a number of different performance measures and time periods to help you assess the Preference fund range. The data used to arrive at the figures shown is provided
More informationLife Fund September 2018
Life Fund September 2018 Aviva Life Aberdeen Multi-Manager Ethical Portfolio FPL This factsheet provides factual information only. The information shown should not be used in isolation for making buying
More informationBALANCED ALPHA PORTFOLIO
BALANCED ALPHA PORTFOLIO RISK 6 You are aiming for higher long term returns and accept value. You accept the risk of a greater than moderate loss. Potential return of 29.72 & potential loss of -18.48 BALANCED
More informationAviva Investors UK Funds Multi-Manager Flexible (Class 1 Acc [GBP])
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
More informationShare class conversion and portfolio management user guide: ISA and CIA portfolios
For financial advisers only Share class conversion and portfolio management user guide: ISA and CIA portfolios This guide explains how to update your ISA and Collective Investment Account (CIA) portfolios,
More informationPension 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 informationAviva Pension Jupiter Income IE/XE
Pension Fund September 2017 Aviva Pension Jupiter Income IE/XE This factsheet provides factual information only. The information shown should not be used in isolation for making buying and selling decisions.
More informationPension 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 informationBALANCED INCOME. EDITION 29 June 2018 PORTFOLIO RISK
BALANCED INCOME PORTFOLIO RISK 6 You are aiming for higher long term returns & accept poorer performance.you accept the risk of a greater than moderate loss. Potential return of 29.72 & potential loss
More informationLife 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 informationLife 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 Schroder UK Smaller Companies AL / MLC / PSB This factsheet provides factual information only. The information shown should not be used in isolation for making buying and
More informationSmith & Williamson Managed Portfolio Service factsheets
Smith & Williamson Managed Portfolio Service factsheets Defensive Income (OE) Portfolio Profile 31 August 2017 For professional advisers only - Not for use by or distribution to retail clients. Portfolio
More informationPension Fund June 2018
Pension Fund June 2018 Aviva Pension Invesco Perpetual Corporate Bond FP This factsheet provides factual information only. The information shown should not be used in isolation for making buying and selling
More informationPreference. Fund Performance Booklet. Performance Data. Risk Rating
Performance Data This booklet contains a number of different performance measures and time periods to help you assess the Preference fund range. The data used to arrive at the figures shown is provided
More informationLife Fund November 2018
Life Fund November 2018 Aviva Life Fidelity European AL / MLC / PSB This factsheet provides factual information only. The information shown should not be used in isolation for making buying and selling
More informationAviva Pension Stewardship FPP
Pension Fund November 2017 Aviva Pension Stewardship FPP This factsheet provides factual information only. The information shown should not be used in isolation for making buying and selling decisions.
More informationPension Fund July 2018
Pension Fund July 2018 Aviva Pension Man GLG Japan CoreAlpha IE/XE This factsheet provides factual information only. The information shown should not be used in isolation for making buying and selling
More informationPension Fund May 2018
Pension Fund May 2018 Aviva Pension Schroder European Recovery FP This factsheet provides factual information only. The information shown should not be used in isolation for making buying and selling decisions.
More informationPension Fund May 2018
Pension Fund May 2018 Aviva Pension Franklin UK Smaller Companies EP S3 This factsheet provides factual information only. The information shown should not be used in isolation for making buying and selling
More informationYOUR QUARTERLY FUND PERFORMANCE.
30 JUNE 2016 YOUR QUARTERLY FUND PERFORMANCE. We know it s important for you to stay up to speed with your fund s performance. That s why we provide this quarterly update on the performance of our range
More informationPension 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 informationAviva Life Global Distribution AL
Life Fund October 2018 Aviva Life Global Distribution AL This factsheet provides factual information only. The information shown should not be used in isolation for making buying and selling decisions.
More informationAviva 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 informationRisk 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 informationLife Fund September 2018
Life Fund September 2018 Aviva Life AXA Framlington Biotech AL / PSB This factsheet provides factual information only. The information shown should not be used in isolation for making buying and selling
More informationKudos. Fund Performance Booklet. Performance Data. Risk Rating
Performance Data This booklet contains a number of different performance measures and time periods to help you assess the Kudos fund range. The data used to arrive at the figures shown is provided by Morningstar.
More informationPension Fund May 2018
Pension Fund May 2018 Aviva Pension Janus Henderson European Growth EP / EP S1 This factsheet provides factual information only. The information shown should not be used in isolation for making buying
More informationTJX Deposit & Cash IE
Pension Fund September 2018 TJX Deposit & Cash IE This factsheet provides factual information only. The information shown should not be used in isolation for making buying and selling decisions. Fund aim
More informationMANAGED PORTFOLIO SERVICE
MANAGED PORTFOLIO SERVICE Cautious January 17 The value of investments can fall and you may get back less than you invested. Past performance is not a guide to future performance. Any specific investments
More informationPension Fund August 2018
Pension Fund August 2018 Aviva Pension Aegon UK Fixed Interest Pension IE/XE This factsheet provides factual information only. The information shown should not be used in isolation for making buying and
More informationPension 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