Funds designed to support your
long-term wealth creation
Our investment team have created multi-manager funds that can be matched to your risk profile.
Underlying funds are chosen using our thorough selection process alongside the AXA IM Select investment managers' own experience and skill. These funds are combined into diversified portfolios, helping to spread the risk. The team regularly monitor, and when necessary, adjust the funds to ensure they perform as expected.
Prices and factsheets
For all funds, share classes
and price information
VIEW
- Architas Flexible Bond is a sub-fund of Architas Multi-Manager Global Managed Funds Unit Trust (the “Trust”) which is an umbrella open-ended unit trust domiciled in Dublin, Ireland. Its home regulator is the Central Bank of Ireland (the “CBI”).
- This Fund invests primarily in a diversified range of fixed income investments, in particular, by way of investment in other collective investment schemes.
- This Fund is subject to the following key risk factors: risk relating to dynamic asset allocation, risk of investing in other collective investment schemes, index fund risk, fixed income risk (including credit risk, interest rate risk, lower rated or unrated securities risk, downgrading risk and credit rating risk), Eurozone risk, emerging markets risk, valuation risk, currency risk, Renminbi currency and conversion risk, and risks associated with distribution effectively and/or directly out of capital.
- Investors should not make investment decisions based on this document alone and should read the offering document (comprising the Prospectus, Supplements, Hong Kong Covering Document and Product Key Facts Statement of the Fund) for details including risk factors.
- Before you decide to invest, make sure the intermediary has explained to you that the Fund is suitable for you.
Portfolio
The pie charts below highlight the investment diversification within the Flexible Bond Fund. Please note these charts have been provided for illustrative purposes and they will change over time. For the latest breakdowns, please see the factsheet.
- Architas Multi-Asset Balanced (the “Fund”) is a sub-fund of Architas Multi-Manager Global Managed Funds Unit Trust (the “Trust”) which is an umbrella open-ended unit trust domiciled in Dublin, Ireland. Its home regulator is the Central Bank of Ireland (the “CBI”).
- This Fund invests primarily in a diversified range of asset classes, in particular, by way of investment in other collective investment schemes.
- This Fund is subject to the following key risk factors: risk relating to dynamic asset allocation, risk of investing in other collective investment schemes, index fund risk, fixed income risk (including credit risk, interest rate risk, lower rated or unrated securities risk, downgrading risk and credit rating risk), Eurozone risk, emerging markets risk, equity risk, small-cap and/or mid-cap company risk, valuation risk and currency risk.
- Investors should not make investment decisions based on this document alone and should read the offering document (comprising the Prospectus, Supplements, Hong Kong Covering Document and Product Key Facts Statement of the Fund) for details including risk factors.
- Before you decide to invest, make sure the intermediary has explained to you that the Fund is suitable for you.
Portfolio
The pie charts below highlight the investment diversification within the MA Balanced Fund. Please note these charts have been provided for illustrative purposes and they will change over time. For the latest breakdowns, please see the factsheet.
Multi-Asset (MA) Balanced Fund
Synthetic Risk and Reward Indicator score (SRRI) 4
This Fund aims:
To achieve a return for investors over the medium to long term based on a combination of capital growth and income, and with a medium to high volatility level through exposure to a diversified range of asset classes.
- Architas Flexible Equity (the “Fund”) is a sub-fund of Architas Multi-Manager Global Managed Funds Unit Trust (the “Trust”) which is an umbrella open-ended unit trust domiciled in Dublin, Ireland. Its home regulator is the Central Bank of Ireland (the “CBI”).
- This Fund invests primarily in a diversified range of equity investments, in particular, by way of investment in other collective investment schemes.
- This Fund is subject to the following key risk factors: risk relating to dynamic asset allocation, risk of investing in other collective investment schemes, index fund risk, Eurozone risk, emerging markets risk, equity risk, small-cap and/or mid-cap company risk, and currency risk.
- Investors should not make investment decisions based on this document alone and should read the offering document (comprising the Prospectus, Supplements, Hong Kong Covering Document and Product Key Facts Statement of the Fund) for details including risk factors.
- Before you decide to invest, make sure the intermediary has explained to you that the Fund is suitable for you
Portfolio
The pie charts below highlight the investment diversification within the Flexible Equity Fund. Please note these charts have been provided for illustrative purposes and they will change over time. For the latest breakdowns, please see the factsheet.
Flexible Equity Fund
Synthetic Risk and Reward Indicator score (SRRI) 5
This Fund aims:
to achieve a return for investors over the medium to long term based on a combination of capital growth and income, and with a medium to high volatility level.