Aegon Diversified Monthly Income Fund

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Aegon Diversified Monthly Income Fund GBP B Inc

Category GBP Allocation 40-60% Equity


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This fund can be held in an Investment ISA, SIPP and Investment Account
Last buy/sell price

107.359p

arrow-down-0.188p (-0.18%)

Fund Code

AEDII

BJFLR10

GB00BJFLR106

Prices updated as at 16 Dec 2025
|
Prices in GBX

Investment objective
The investment objective is to generate income with a target yield of approximately 5% per annum, with the potential for capital growth over the medium term (being any 5 year period). By investing in the Fund, capital is at risk. There is no guarantee that the Fund will generate this, or any other level of income or returns. The Fund is a flexible multi-asset fund that invests across a range of asset classes on a global basis, taking into account factors such as global economic trends and growth opportunities. As a result, at any one time the Fund may be diversified across asset classes, sectors, currencies or geographies in various proportions. At least 80% of the Fund will usually consist of equities, corporate bonds and government and public securities. The typical level of investment in equities will be between 20-60% of the Fund’s value.

Portfolio as of 31/10/2025

Asset allocation

Show long & short position

Geographical breakdown

Continent or country allocation (%)

Market classification (%)

Stock style

Large value

33.53%

% Weight
Value
Core
Growth
Large

34

25

22

Medium

4

14

1

Small

0

1

0

Valuation

Aegon Diversified Monthly Income Fund GBP B Inc
GBP Allocation 40-60% Equity

16.41

16.41
17.50

2.12

2.12
2.03

2.52

2.52
2.76

12.26

12.26
12.14

Growth rate

Aegon Diversified Monthly Income Fund GBP B Inc
GBP Allocation 40-60% Equity

6.64%

6.64%
9.03%

3.87%

3.87%
2.15%

13.37%

13.37%
13.40%

Top 10 holdings

1
United Kingdom of Great Britain and Northern Ireland 4.25%
Sector
-
Country
United Kingdom
% of assets
3.89205
2
United Kingdom of Great Britain and Northern Ireland 3.75%
Sector
-
Country
United Kingdom
% of assets
3.79912
3
United Kingdom of Great Britain and Northern Ireland 4.13%
Sector
-
Country
United Kingdom
% of assets
2.55578
4
Broadcom Inc
Sector
-
Country
United States
% of assets
2.31305
5
Taiwan Semiconductor Manufacturing Co Ltd ADR
Sector
-
Country
Taiwan
% of assets
2.2657
6
DBS Group Holdings Ltd
Sector
-
Country
Singapore
% of assets
1.83639
7
Microsoft Corp
Sector
-
Country
United States
% of assets
1.66692
8
Rio Tinto PLC Ordinary Shares
Sector
-
Country
United Kingdom
% of assets
1.64816
9
Japan Hotel REIT Investment Corp
Sector
-
Country
Japan
% of assets
1.48833
10
Greencoat UK Wind
Sector
-
Country
United Kingdom
% of assets
1.39733
Assets in top 10 holdings %

22.86%

Total no. of equity holdings

59.00

Total no. of bond holdings

44.00

Stock sectors

Aegon Diversified Monthly Income Fund GBP B Inc
GBP Allocation 40-60% Equity

42.97%

Basic materials

4.33%
-

Con cyclical

5.90%
-

Financial svs

19.05%
-

Real estate

13.69%
-

34.70%

Comm services

4.14%
-

Energy

0.36%
-

Industrials

11.80%
-

Technology

18.39%
-

22.33%

Con defensive

4.43%
-

Healthcare

9.38%
-

Utilities

8.52%
-


Important Information

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