Ashburton Global Balanced Fund

Multi asset fund targeting capital growth within a moderate risk strategy.

Investment objectives and strategy

The primary aim is to deliver medium to long-term capital growth through a balanced asset allocation across a diversified range of asset classes, regions and currencies with at least 30% of its assets in a combination of fixed income securities, Money Market Instruments and cash whilst not exceeding 70% of its assets in equity securities.

Investor profile

This fund is designed as a moderate risk strategy for clients who are prepared to accept a moderate degree of risk with their capital.

Why the Ashburton Global Balanced Fund

  • The potential to achieve long term capital growth through a balanced asset allocation across a diversified range of asset classes, regions and currencies
  • At least 30% of the funds’ assets are in a combination of fixed income securities, money market instruments and cash, not exceeding 70% of its assets in equity securities
  • Investing in multi asset funds can offer exposure to a broader range of assets, sectors and strategies and direct investment exposures with greater flexibility.

Fund data

ISIN
LU1109955630
Sedol
BQWJ976
Bloomberg
AIGBLDE LX
Currency
Euro
Risk rating
Moderate
Domicile
International - Luxembourg
Launch date
08/10/2014
Fund size
257.7000 m
Dealing
Daily
NAV
14.6194
Daily change
-0.16%
Price date
26/02/2026
Cumulative performance since 2014: 3.1%

*Hover on chart to see values