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





Asset Allocation
Standard top 10 holdings
IA sector allocation
Not Classified | 78.43% | |
---|---|---|
Volatility Managed | 9.45% | |
Global Equity Income | 7.20% | |
Global Emerging Markets (offshore) | 2.26% | |
Money Market (offshore) | 1.54% | |
Global Equity (offshore) | 1.00% | |
Cash and Equiv. | 0.24% | |
Global High Yield Bond | 0.00% | |
Non-mutual | -0.11% |
X-ray top 10 holdings
Where are the underlying funds invested?
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