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Offshore Insurance / AEGON International

AEGON International 80/20 Multi Manager Portfolio

FE Crown Rating

Domicile

Ireland

Global Sector

Primary Asset Class

Currency

GBP
 

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Performance figures are calculated on a bid price to bid price basis and rebased to Growth of £ 1000 over 3 years.
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Cumulative Performance

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Performance figures are calculated on a bid price to bid price basis.


  
  Unit Citicode ISIN YTD 3m 6m 1y 3y 5y
add to basket AEGON International 80/20 Multi Manager Portfolio B 0MQ0 5.70 2.25 3.56 6.34 23.53 -
add to basket AEGON International 80/20 Multi Manager Portfolio V1 FON7 5.33 2.15 3.32 5.83 21.81 34.28
add to basket AEGON International 80/20 Multi Manager Portfolio C I85W 6.03 2.35 3.79 6.84 - -
  Mixed Asset - Cautious     2.31 1.39 1.30 3.33 14.42 19.64
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Discrete Performance, Calendar years

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  Unit Citicode ISIN   2013 2012 2011 2010 2009
add to basket AEGON International 80/20 Multi Manager Portfolio B 0MQ0   2.36 9.15 - - -
add to basket AEGON International 80/20 Multi Manager Portfolio V1 FON7   1.85 8.66 5.60 8.84 -
add to basket AEGON International 80/20 Multi Manager Portfolio C I85W   3.07 - - - -
  Mixed Asset - Cautious       4.89 5.22 -1.77 6.79 10.72
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Discrete Performance, rolling 12-month periods

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  Unit Citicode ISIN   0-12m 12-24m 24-36m 36-48m 48-60m
add to basket AEGON International 80/20 Multi Manager Portfolio B 0MQ0   6.34 3.54 12.20 - -
add to basket AEGON International 80/20 Multi Manager Portfolio V1 FON7   5.83 3.02 11.72 0.72 9.44
add to basket AEGON International 80/20 Multi Manager Portfolio C I85W   6.84 - - - -
  Mixed Asset - Cautious     3.33 5.78 4.69 -1.31 5.95
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Annualised Performance

  Unit Citicode ISIN     1y 3y 5y 10y
add to basket AEGON International 80/20 Multi Manager Portfolio B 0MQ0   6.34 7.30 - -
add to basket AEGON International 80/20 Multi Manager Portfolio V1 FON7   5.83 6.80 6.07 -
add to basket AEGON International 80/20 Multi Manager Portfolio C I85W   6.84 - - -
  Mixed Asset - Cautious       3.33 4.59 3.65 3.93
 
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Growth of £ 1000 over 3 years

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Total return performance of the fund rebased to 1000.
Your actual return would be reduced by the cost of buying and selling the fund, and inflation.