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ASI Multi Manager Multi Asset Distribution Portfolio

The £34 million ASI Multi Manager Multi Asset Distribution Portfolio open-ended investment company has a long history producing below average annual returns that put it in the bottom 25% of the Mixed Investment 20-60% Shares category. These returns have also experienced high levels of volatility compared to other funds in this category. Higher levels of volatility in the market-neutral returns of a fund increase the short and medium term risks of an investment.

Our Rating: 3.4 out of 5

Today's FTSE 100 at 7095 is 12% below its long-term GDP-adjusted norm.

Forecast Return
13%
Risk of Loss
4%
info iconFund Information

Note that the ratings shown here are not static and relate to the current UK stock market at yesterday's FTSE 100 close and will change with changing market conditions.

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Fund Ratings


Fund Category Forecast Risk Rating

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