Aviva Investors Multi-Asset Plus III Class 2- Accumulation (GBP)





Asset Allocation
Standard top 10 holdings
IA sector allocation
Not Classified | 53.95% | |
---|---|---|
Global Fixed Interest (offshore) | 14.44% | |
Volatility Managed | 9.76% | |
Money Market (offshore) | 8.82% | |
Global Equity Income | 4.51% | |
Targeted Absolute Return | 3.49% | |
Global High Yield Bond | 2.14% | |
Global Emerging Markets (offshore) | 1.60% | |
Non-mutual | 0.63% | |
Global Equity (offshore) | 0.59% | |
Cash and Equiv. | 0.06% |
X-ray top 10 holdings
Where are the underlying funds invested?
Fund Analysis is only available on the desktop version of our website. This can be accessed using a desktop or laptop PC or some larger tablets.
