Aviva Investors Multi-Manager Flexible Fund 1 GBP Acc

Category GBP Allocation 60-80% Equity


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Last buy/sell price

166.06p

arrow-down-0.53p (-0.32%)

Fund Code

B1N9516

GB00B1N95162

Prices updated as at 24 Apr 2026
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Prices in GBX

Investment objective
The Fund aims to grow investors investment and provide an average annual net return greater than the Investment Association Flexible Investment Sector (the “Sector”) over a rolling 5 year period through a combination of income and capital returns by investing in other funds (including funds managed by Aviva Investors companies). At least 80% of the Fund will be invested in other funds, which in turn invest in a range of global asset classes (including emerging markets). The Fund’s asset class exposures will be made up of the combined holdings of the other funds, with at least 75% of the combined holdings being invested in the shares of companies, and a maximum of 25% in bonds and cash.

Annual performance (%)

YearThis fundGBP Allocation 60-80% Equity
31 Mar 15 - 31 Mar 16-5.48-2.93
31 Mar 16 - 31 Mar 1723.3817.37
31 Mar 17 - 31 Mar 180.761.40
31 Mar 18 - 31 Mar 193.513.97
31 Mar 19 - 31 Mar 20-8.98-8.04
31 Mar 20 - 31 Mar 2133.8626.61
31 Mar 21 - 31 Mar 227.915.02
31 Mar 22 - 31 Mar 23-4.69-4.73
31 Mar 23 - 31 Mar 2411.3810.39
31 Mar 24 - 31 Mar 258.513.05
31 Mar 25 - 31 Mar 2613.0010.55

Trailing returns (%)

YearThis fundGBP Allocation 60-80% Equity
1 Day-0.32-0.17
1 Month5.875.18
3 Months1.911.51
6 Months5.774.62
1 Year24.9419.58
3 Years annualised12.899.62
5 Years annualised7.725.64
Please note that past performance is not a reliable indicator of future returns. Please use the interactive graph for benchmark comparison.


Important Information

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