A choice of five risk-managed multi-asset collective funds each with its own risk profile, investing at least 70% in active collective investments. M&G Investment Management Ltd, part of M&G plc, are the investment managers for the Risk Managed Active funds. They make the relevant adjustments to the portfolio based on M&G Treasury and Investment Office (T&IO) recommendations.
These funds also benefit from the following:
The value of your investment can go down as well as up so you might not get back the amount you put in.
For more information on the Risk Managed Active Range, please see the following documents or speak to your financial adviser.