abrdn MyFolio Core IV Fund Institutional Accumulation

Overview

Fund classes:
abrdn MyFolio Core IV Fund Institutional Accumulation
118.20p Price
0.30p
0.25%
Today's Change
ISIN GB00B4XVS369
Share Class Accumulation
Ongoing Charge 0.77%
Annual Management Charge 0.225%

OBJECTIVES AND INVESTMENT POLICY Investment Objective To generate growth over the long term (5 years or more) while being managed to a defined level of risk. The fund is part of the MyFolio Managed range, which offers five funds with different expected combinations of investment risk and return. This fund is risk level IV, which aims to be the second highest risk fund in this range. Risk Target: The defined level of risk referred to above that the management team is targeting is within the range of 60-90% of world stock markets (represented by the MSCI World Index), over 10 years. There is no certainty or promise that this target will be achieved. The Risk Target has been chosen as it represents a risk range which is appropriate for the fund. Performance Comparator: For comparison purposes, investors can compare the fund's long term performance to a basket of assets (before charges) with a risk profile at the lower range of the Risk Target stated above (i.e. 60% of world stock markets), which is considered appropriate given the investment policy and Risk Target of the fund. This basket is composed 20% FTSE-All Share Index, 40% MSCI World ex UK Index and 40% SONIA Index. Investment Policy Portfolio Securities - The fund will invest at least 60% in actively managed (which invest using manager discretion) abrdn funds and up to 40% in passively managed funds (which aim to replicate performance of a market index), including those managed by abrdn, to obtain broad exposure to a range of diversified investments. - Typically, at least 60% of the fund will be invested in assets traditionally viewed as being higher risk such as such as equities (company shares), commercial property, alternative funds and emerging market bonds (which are like loans to companies or governments that pay a rate of interest, invested in regions including Eastern Europe, Asia, Africa, Latin America and the Middle East). - The rest of the fund is invested in a selection of other assets. These will include assets such as cash, assets that can be turned into cash quickly, government bonds (which are loans to governments that pay interest) and investment grade corporate bonds (which are like loans to companies that pay interest and are typically regarded as having a low default risk) and funds that use a combination of equities and bonds (which are like loans to companies or governments which pay interest), and derivatives. Management Process - The management team use their discretion (active management) to select funds within each asset class and ensure that the strategic asset allocation (long-term proportions in each asset class) meets the fund's objectives. - In addition, they will take tactical asset allocations (changing short term proportions in each asset class) with the aim of improving returns. - Please note that the number contained in the fund name is not related to the SRRI contained in the Key Investor Information document (NURSKII). Derivatives and Techniques - The fund is not expected to invest in derivatives directly however it may invest in other funds which use derivatives. - Derivatives are linked to the value of other assets. In other words, they derive their price from one or more underlying asset. Investors in the fund may buy and sell shares on any dealing day (as defined in the Prospectus). If you invest in income shares, income from investments in the fund will be paid out to you. If you invest in accumulation shares, income will be added to the value of your shares. Recommendation: the fund may not be appropriate for investors who plan to withdraw their money within five years. Investors should satisfy themselves that their attitude to risk aligns with the risk profile of this fund before investing. The fund's realized volatility may not always be within the volatility band for the stated risk level and at times observing the asset allocation restrictions may limit capital growth.

Performance

Price and Net Asset Value breakdown

Midprice 118.20p
Change on Day 0.30p
Change on Day % 0.25%
52 week high 1.19p
52 week low 1.05p
Fund currency GBX
Date updated 02 July 2025

Fund details

Fund Type Open Ended Investment Company
Unit Type Accumulation
Standard initial Charge -
Annual Management Charge 0.225%
Dividend Frequency -
Latest Distribution Info 0.0084p
01 July 2025

Fund manager information

Fund Manager Company abrdn

Fund manager biographies

Name Katie Trowsdale
Since 01 April 2019
Bio
Name Rob Bowie
Since 01 April 2019
Bio
View all manager information