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
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