Aberdeen ASI Multi-Asset I Acc NAV

IMA Sector:

Mixed Investment 40-85% Shares

ISIN:

GB0031682395

Fund Type:

OEIC

324.58p
   
  • PEP:
  • ISA:
  • CAT Std:
  • Date: 27-Oct-2023
  • Change: -2.49p
  • Change %: -0.76%
  • Currency: GBP
  • YTD change: 324.58p
  • YTD %: n/a

Fund Objective

The investment objective of Aberdeen Balanced Managed Fund is to provide long term total return from a diversified portfolio of securities, whilst seeking to adopt a similar level of risk to the average UK balanced pension fund.

View on Past Performance

October has again been a disappointing month for equities. The MSCI World index had dropped 16% in sterling terms going into the final week of the month. A sustained rally saw the market finish the month down a little under 8%. The MSCI Emerging Market index showed a similar pattern over the month with a sharp decline followed by a rally of 17% in the final week of the month. Continued efforts are being made to stave off the global recession.The FOMC has again reduced rates in an effort to stimulate the economy. It is expected that the MPC and European Central Bank will both follow suit at their next meetings. Within currency markets most major currencies have depreciated against the US dollar. The major exception to this is the dollar yen rate which has appreciated against the US dollar.From a UK context the movements in the exchange rates will assist companies whose profits arise from the US as the value of any profits will increase when repatriated to the UK. Over the month the oil price continued to fall. By the end of October the WTI Dec '08 future had dropped by over 32%. Within the portfolio we have increased our equity exposure and infrastructure exposure as markets allowed.

Fund Details

Latest Price 324.58p IMA Sector Mixed Investment 40-85% Shares
Currency British Pound Launch Date 01/06/2002
Fund Size n/a Fund Manager Global Strategy & Asset Allocation Team
ISIN GB0031682395 Dividend 0.00p

Note 1: Prices and trades are provided by Digital Look Corporate Solutions and are delayed by at least 15 minutes.

 

Price Info

Date 27-Oct-2023
NAV 324.58p
Currency GBP
Change -2.49p
% -0.76%
YTD change 324.58p
YTD % n/a

Fund Facts

Fund Inception 01/06/2002
Fund Manager Global Strategy & Asset Allocation Team
TER -

Fund Reports

Minimum Investment
Initial £500
Additional n/a
Savings £50
Charges
Initial 4.25%
Annual Mang't 0.75%
Exit n/a

Risks

Name %
Standard deviation 0.01
Sharpe ratio 0.11

Top of Page