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Risk Warning:The value of investments and the income from them can go down as well as up and you may get back less than the amount invested. Please refer to the Risk factors in the Prospectus for general and specific investment risks attaching to the individual funds.
At Aberdeen, our Multi-Asset funds are actively managed and invest across equities, bonds, property, cash, commodities and other alternative assets. This ability to switch between a broader range of asset classes provides greater diversification and the potential for a better risk/return profile than a pure equity-based portfolio.
We have a bottom-up stock selection process and meet with company management before making an investment in their shares. This strong bottom-up investment approach complements our Multi-Asset team asset allocation skills in order to generate attractive risk-adjusted returns.
At Aberdeen, our rigorous process helps us to seek out strong, robust investments. For added resilience we developed a fund that combines our best global ideas across all the main asset classes - equities, fixed income and alternatives.
The result is the Aberdeen Multi-Asset Fund, fully diversified to offer maximised growth opportunity while, at the same time, aiming to control the risk.