Aon Managed Bespoke Sustainable Growth Pn

SRI Style:

Sustainability Tilt

SDR Labelling:

-

Product:

Pension

Fund Region:

Global

Fund Asset Type:

Fixed Interest

Launch Date:

27/05/2022

Last Amended:

Dialshifter ():

Fund/Portfolio Size:

£25.29m

(as at: 31/03/2026)

ISIN:

GB00BPNL7J23

Primary fund last amended:


Information directly from fund manager.

Sustainable, Responsible &/or ESG Policy:

Fund objective

The Fund aims to outperform its benchmark by investing in funds that provide exposure to a range of asset types, which may include global equities, property, fixed income and other assets including cash and money market instruments. The Fund predominantly gains exposure to these asset classes by investing in underlying funds which are passively managed. The Fund may also invest in funds that invest in shares of companies where the manager believes that their products or services are expected to make a positive impact on society and/or the environment, or where the fund manager takes an approach to actively engage with the companies regarding environmental, social or governance issues. The Fund may also select investments which target broader equity market themes such as, but not
limited to, value, quality, momentum and low volatility.

(Source: Factsheet, as at March 2026)

Literature

Fund Name SRI Style SDR Labelling Product Region Asset Type Launch Date Last Amended

Aon Managed Bespoke Sustainable Growth Pn

Sustainability Tilt - Pension Global Fixed Interest 27/05/2022

Fund/Portfolio Size: £25.29m

(as at: 31/03/2026)

ISIN: GB00BPNL7J23

Information received directly from Fund Manager

Please select what you would like to read:

Sustainable, Responsible &/or ESG Policy:

Fund objective

The Fund aims to outperform its benchmark by investing in funds that provide exposure to a range of asset types, which may include global equities, property, fixed income and other assets including cash and money market instruments. The Fund predominantly gains exposure to these asset classes by investing in underlying funds which are passively managed. The Fund may also invest in funds that invest in shares of companies where the manager believes that their products or services are expected to make a positive impact on society and/or the environment, or where the fund manager takes an approach to actively engage with the companies regarding environmental, social or governance issues. The Fund may also select investments which target broader equity market themes such as, but not
limited to, value, quality, momentum and low volatility.

(Source: Factsheet, as at March 2026)

Literature