• Broaden your potential

    Our scale and breadth of investment expertise allow us to combine a range of specialist and mainstream asset classes. This expands your sources of potential return. And by also carefully assessing future risks, our multi-asset strategies aim to give you a smoother long-term investment performance.
    Funds in focus
  • Target your outcome

    Many of our multi-asset strategies are designed to target specific goals and risk-reward requirements. These include tactical asset allocation, diversified income/growth and absolute ‘cash-plus’ return strategies. We can further customise these strategies to meet your clients' needs.
    View our videos
  • Focus on ESG

    We want our multi-asset strategies to contribute to the long-term health of society and our planet. We therefore assess environmental, social and governance (ESG) factors when we invest and take climate into account in our strategic asset allocation. We also offer specialist sustainability strategies in many regions.
    View our related articles

Our Multi-asset funds in focus

Visit our fund centre to see all the funds we offer, or take a look at our focus funds below. Click on each fund to find out more about its objectives, past performance, and to access key literature.

A fund of funds solution designed to meet demand from advisers and clients for a cost-effective, risk-targeted solution to help meet long-term investment needs.

abrdn

Index

Five funds investing primarily in a range of tracker funds managed by abrdn. These underlying funds will, therefore, follow their respective index down as well as up. This is the lowest cost option as it primarily invests in abrdn trackers and does not undertake any tactical decisions between its annual Strategic Asset Allocation reviews.

abrdn

Index

Five funds investing primarily in a range of tracker funds managed by abrdn. These underlying funds will, therefore, follow their respective index down as well as up. This is the lowest cost option as it primarily invests in abrdn trackers and does not undertake any tactical decisions between its annual Strategic Asset Allocation reviews.

abrdn

Market

Five funds investing primarily in a range of tracker funds which aim to replicate the performance of an index such as the FTSE All Share or the S&P 500. These underlying funds will, therefore, follow their respective index down as well as up.

abrdn

Market

Five funds investing primarily in a range of tracker funds which aim to replicate the performance of an index such as the FTSE All Share or the S&P 500. These underlying funds will, therefore, follow their respective index down as well as up.

abrdn

Sustainable

The five MyFolio Sustainable funds let customers access investments which aim to do more good and less harm whilst retaining all the benefits of a multi-asset portfolio, at a level of risk they are comfortable with. It does this by investing in a range of carefully chosen funds which meet our rigorous sustainability standards.

abrdn

Sustainable

The five MyFolio Sustainable funds let customers access investments which aim to do more good and less harm whilst retaining all the benefits of a multi-asset portfolio, at a level of risk they are comfortable with. It does this by investing in a range of carefully chosen funds which meet our rigorous sustainability standards.

abrdn

Managed

Five portfolios offering a competitively-priced option as they invest mainly in funds run by abrdn. We have considerable expertise investing across the major asset classes such as equities, property, bonds and alternative investments.

abrdn

Managed

Five portfolios offering a competitively-priced option as they invest mainly in funds run by abrdn. We have considerable expertise investing across the major asset classes such as equities, property, bonds and alternative investments.

abrdn

Multi-Manager

Five portfolios investing in selected funds from some of the leading investment managers in the market. We carry out in-depth research to identify funds we believe to be among the best in the industry.

abrdn

Multi-Manager

Five portfolios investing in selected funds from some of the leading investment managers in the market. We carry out in-depth research to identify funds we believe to be among the best in the industry.

abrdn

Monthly Income

Three funds with a bias towards generating income. These funds invest in carefully selected, income-focused funds from leading managers in the market.

abrdn

Monthly Income

Three funds with a bias towards generating income. These funds invest in carefully selected, income-focused funds from leading managers in the market.

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Key Documents for advisers

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