Aviva Pension Multi-Asset Core I-V Pn

SRI Style:

Limited Tilt or Exclusions

SDR Labelling:

-

Product:

Pension

Fund Region:

Global

Fund Asset Type:

Multi Asset

Launch Date:

24/09/2021

Last Amended:

Dialshifter ():

Fund/Portfolio Size:

£m

ISIN:

GB00BLBZBY12, GB00BLBZC046, GB00BLBZBZ29, GB00BLBZBX05, GB00BLBZBW97

Primary fund last amended:


Information directly from fund manager.

Sustainable, Responsible &/or ESG Policy:

The fund range aims to grow your investment over the long term (5 years or more) through a combination of income and capital growth. The funds target an overall average return before charges and taxes of at least 0.30% greater than the performance benchmark per year, measured over 3-year rolling periods.

(Source: Aviva factsheet, as at May 2025)

 

Please note: See Aviva baseline exclusions policy" https://www.aviva.com/sustainability/resources-and-reporting-hub/

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

Aviva Pension Multi-Asset Core I-V Pn

Limited Tilt or Exclusions - Pension Global Multi Asset 24/09/2021

ISIN: GB00BLBZBY12, GB00BLBZC046, GB00BLBZBZ29, GB00BLBZBX05, GB00BLBZBW97

Information received directly from Fund Manager

Please select what you would like to read:

Sustainable, Responsible &/or ESG Policy:

The fund range aims to grow your investment over the long term (5 years or more) through a combination of income and capital growth. The funds target an overall average return before charges and taxes of at least 0.30% greater than the performance benchmark per year, measured over 3-year rolling periods.

(Source: Aviva factsheet, as at May 2025)

 

Please note: See Aviva baseline exclusions policy" https://www.aviva.com/sustainability/resources-and-reporting-hub/