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Page 1 of 2
NON - UCITS RETAIL SCHEME
KEY INVESTOR INFORMATION
This document provides you with key investor information about this Fund. It is not marketing material. The information is re quired by law to help you understand the nature and the risks of investing in this Fund. You are advised to read it so you can make an informed decision about whether to invest. Aviva Investors Multi - asset Plus Fund II, Class 2, Accumulation shares, GBP, a sub - fund of the Aviva Investors Portfolio Funds ICVC (ISIN: GB00B7JRQQ84). The Fund is managed by Aviva Investors UK Fund Servic es Limited. OBJECTIVES AND INVESTMENT POLICY
The Fund aims to grow your investment over the long term (5 years or more) through a combination of income and capital growth. The Fund targets an overall average return before charges and taxes of at least 1.30% greater than the performance benchmark per year, measured over 3 - year rolling periods. The performance benchmark is a composite index, comprising 45% MSCI® All Countries World Index (Net) GBP and 55% Bloomberg Global Aggregate Bond Index Hedged GBP (the “ Performance Index ”). The Fund is managed to a “cautious” risk profile and aims to remain within a defined risk range of 37% to 53% of the volatility of “Global Equities”, targeting 45%. The benchmark we use to represent the volatility of “Global Equities” is MSCI® All Countries World Index (Net) GBP (the “ Volatility Index ”). Volatility is measured on an annualised basis, over 3 - year rolling periods, using the volatility figures as at the end of each month. Core Investment: The Fund will invest in a variety of global asset classes, including shares of both developed and emerging market companies, bonds issued by companies, governments, or large institutional organisations in developed and emerging markets, cash and money market instruments, as well as alternative strategies such as absolute return, lon g and short positions, and asset backed securities. It will gain this exposure by investing directly in these assets and strategies, through the use of derivatives or investing in other funds (including funds managed by Aviva Investors companies). Derivati ves may be used for investment purposes but will not materially alter the risk profile. They are also used to manage the Fund more efficiently and to reduce risk. Other Investments: The Fund may also invest in property via other funds and/or real estate in vestment trusts, and indirectly in commodities, for example through another collective investment scheme, exchange traded commodity or a derivative. Strategy: The Fund is actively managed and uses a mixture of asset allocation techniques to blend asset cla sses for diversification aiming to provide returns consistent with the Fund's “cautious” risk profile and return target. Based on a longer - term outlook, the Fund uses an asset allocation model which determines, within a range, the Fund's allocation to the different asset classes. The asset mix of the Fund will be rebalanced on a periodic basis taking into account the results of the model, the “cautious” risk profile and market conditions. The Fund may also engage in tactical asset allocation decisions at an y time, these are short - term tactical changes to the asset mix aiming to capitalise on specific investment opportunities. This flexibility allows the Fund to try and take advantage of perceived pricing anomalies or to participate in economic conditions see n as more favourable for one asset class, sector or specific asset relative to others. The Fund aims to efficiently gain exposure to global asset classes and may make use of active, passive and semi passive methods to do so. The Fund is part of a range of five multi asset plus funds, each with their own risk profile, ranging from I (the lowest) to V (the highest). This Fund is number II in the range. For more information on these funds please refer to the prospectus.
This Fund is subject to Aviva Investors' baseline exclusion policy – please see Appendix 2 of the Prospectus for information on these limited investment restrictions. Performance & Risk Measurement: The Fund does not base its investment process on either the Performance Index or the Volatility I ndex, so will not hold every asset in them, and may also hold assets that do not form part of them. The Fund's returns could therefore be very different from those of the Performance Index and the Volatility Index. Volatility measures how much the returns of the Fund may fluctuate and is an indicator of the level of risk taken by the Investment Manager. There may be times when the Fund operates outside of its defined risk range. The MSCI® All Country World Index (Net) GBP comprises large and medium - sized co mpanies, as determined by their market capitalisation (total market value of a company's outstanding shares), from both developed and emerging markets, and the index is designed to provide a broad measure of global equity market performance. The Bloomberg Global Aggregate Bond Index Hedged GBP is a measure of global investment grade debt from twenty - four local currency markets. The Performance Index and Volatility Index have been selected as an appropriate measure for the Funds performance and risk targets, because they are representative of the type of assets in which the Fund is likely to invest. For the purposes of calculating the 45%/55% weighting, the Performance Index is re - balanced as at the end of each month. Note: MSCI makes no express or implied wa rranties or representations and shall have no liability whatsoever with respect to any MSCI data contained herein. The MSCI data may not be further redistributed or used as a basis for other indices or any securities or financial products. This report is n ot approved, endorsed, reviewed or produced by MSCI. None of the MSCI data is intended to constitute investment advice or a recommendation to make (or refrain from making) any kind of investment decision and may not be relied on as such. Source: Bloomberg® and Bloomberg® Global Aggregate Bond Index Hedged GBP (the “Benchmark” or the “Index”) are service marks of Bloomberg Finance L.P. and its affiliates, including Bloomberg Index Services Limited (“BISL”), the administrator of the index (c ollectively, “Bloomberg”) and have been licensed for use for certain purposes by Aviva Investors UK Fund Services Limited. Bloomberg is not affiliated with Aviva Investors UK Fund Services Limited, and Bloomberg does not approve, endorse, review, or recomm end the Aviva Investors Multi - asset Plus Fund II. Bloomberg does not guarantee the timeliness, accurateness, or completeness of any data or information relating to Aviva Investors Multi - asset Plus Fund II. Other information: You can buy and sell shares on any London business day. Recommendation: this Fund may not be appropriate for investors who plan to withdraw their money within 5 years. This is an accumulation share class and any income from the Fund will remain in the Fund and is reflected in the share price. For full investment objectives and policy details please refer to the Prospectus.
RISK AND REWARD PROFILE
1 2 3 4 5 6 7
Lower risk Higher risk Typically lower rewards Typically higher rewards This indicator is based on historical data, calculated using European Union rules, and may not be a reliab le indication of the future risk profile of the Fund. The risk and reward category shown is not guaranteed to remain unchanged and may change over time. The lowest category does not mean 'risk free'. The value of investments and the income from them will c hange over time. The Fund price may fall as well as rise and as a result you may not get back the original amount you invested. The Fund has been allocated a risk number based on the higher of the historic volatility of its share price, the historic volati lity of its current asset classes or its intended maximum risk levels. Collective investment risk: Investing in any type of collective investment involves certain risks and limitations that you would not face if investing in markets directly, including the risk of delay in liquidating your investment. Counterparty risk: The Fund could lose money if an entity with which it does business becomes unwilling or is unable to meet its obligations to the Fund. Currency risk: Changes in currency exchange rates could reduce investment gains or increase investment losses. Exchange rates can change rapidly, significantly and unpredictably.
Derivatives risk: Derivatives are instruments that can be complex and highly volatile, have some degree of unpredictability (especia lly in unusual market conditions), and can create losses significantly greater than the cost of the derivative itself. Emerging markets risk: Compared to developed markets, emerging markets can have greater political instability and limited investor right s and freedoms, and their securities can carry higher equity, market, liquidity, credit and currency risk. Fixed Income Risk: Investments in fixed interest securities are impacted by market and credit risk and are sensitive to changes in interest rates and market expectations of future inflation. Bonds that produce a higher level of income usually have a greater risk of default. Hedging risk: Any measures taken to offset specific risks will generate costs (which reduce performance), could work imperfectly or not at all, and if they do work will reduce opportunities for gain. Equities Risk: Equities can lose value rapidly, can rem ain at low prices indefinitely, and generally involve higher risks — especially market risk — than bonds or money market instruments. Bankruptcy or other financial restructuring can cause the issuer's equities to lose most or all of their value. Leverage r isk: A small price decline on a "leveraged" underlying investment will create a correspondingly larger loss for the Fund. A high overall level of leverage and/or unusual market conditions could create significant losses for the Fund. Target outcome risk: A ny outcomes stated as targets are not guaranteed and may not be achieved. Full information on the risks applicable to the Fund is detailed in the Prospectus.
Page 2
Page 2 of 2 This key investor information is accurate as at 06/02/2026
One - off charges taken before or after you invest Entry charge None Exit charge None Charges taken from the Fund over a year Ongoing charges 0.60% Charges taken from the Fund under certain specific conditions Performance fee None This is the maximum that might be taken out of your money before it is invested / before the proceeds of your investment are paid out. The charges you pay are used to pay the costs of running the Fund, including the costs of marketing and distributing it. These charges reduce the potential growth of your investment.
The entry and exit charges shown are maximum figures. In some cases (including when switching to other funds run by Aviva Investors UK Fund Services Limited) you might pay less – you can find the actual entry and exit charges from your financial adviser/distributor. The ongoing charges figure is based on last year's expenses for the year ending 30 November 2025. The figure for ongoing charges excludes performance fees and portfolio transaction costs, except in the case of an entry/exit charge paid by the Fund when buying or selling units in another collective investment undertaking. For more information about charges, including a full explanation of any performance fee (if applicable) please se e the charges sections of the Fund's Prospectus.
PAST PERFORMANCE
Share Class 45% MSCI® All Countries World Index (Net) GBP and 55% Bloomberg Global Aggregate Bond Index Hedged GBP IA Mixed Investment 20 - 60% Shares
2016 2017 2018 2019 2020 2021 2022 2023 2024 2025 10.0 5.9 - 5.5 14.2 4.4 7.0 - 9.0 8.2 10.0 10.0 7.6 - 10.2 10.3 10.3 9.0 12.1 3.5 6.3 - 9.7 6.9 6.2 10.2 9.8 5.94 -50 -5.0 14.8 4.0 6.9 -903 -9.03 8.19 10.3 10.
Past performance is no guide to future performance. The past performance shown in the chart opposite takes into account all charges except entry charges. The Share Class was launched on 20 August 2012. Performance is calculated in the Share Class currency which is GBP. Source: Aviva Investors/Morningstar as at 31 December 2025. *The Fund introduced a performance benchmark on 30 November 2020, therefore, performance data shown prior to this date does not include reference to the performance of the benchmark .
PRACTICAL INFORMATION
Depositary - J.P. Morgan Europe Limited More practical information about the Fund and copies of the Prospectus and the latest annual and half yearly reports are available free of charge from Aviva Investors UK Fund Services Limited PO Box 10410, Chelmsford, CM99 2AY. These documents will be in English and cover the whole ICVC. The latest published price of shares in the Fund and other information on the Fund, including how to buy and sell shares, is also available at www.avivainvestors.co.uk. Shares other than Class 2 are offered by the Fund, as set out in the Prospectus. You ma y switch between funds in the Aviva Investors Portfolio Funds ICVC. An entry charge may apply to a switch but it is normally waived on most funds other than the structured/defined return funds. Details on switching are provided in the Prospectus.
The Fund is subject to the tax laws and regulations of the United Kingdom. Depending on your own country of residence, this might have an impact on your investment. The liabilities of the Fund are segregated and the assets of this Fund will not be used to pay debts of other funds. Aviva Investors UK Fund Services Limited may be held liable solely on the basis of any statement contained in this document that is misleading, inaccurate or inconsistent with the relevant parts of the Prospectus for the Fund. The details of the up - to - date remuneration policy of the Management Company, including the composition of its remuneration committee, a description of the key remuneration elements and an overview of how remuneration is determined, are available on the website www.avi vainvestors.com. A paper copy of the remuneration policy can be made available upon request and free of charge at the Management Company's registered office. The sub - fund launched on 01 November 2010, is authorised in the United K ingdom and regulated by The Financial Conduct Authority. Aviva Investors UK Fund Services Limited is authorised in the United Kingdom and regulated by The Financial Conduct Authority .
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"text": "materially alter the risk profile. They are also used to manage the Fund more"
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"text": "consistent with the Fund\u0027s \u201ccautious\u201d risk profile and return target. Based on"
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"text": "term outlook, the Fund uses an asset allocation model which"
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"text": "determines, within a range, the Fund\u0027s allocation to the"
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"text": "classes. The asset mix of the Fund will be rebalanced on a periodic basis"
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"text": "taking into account the results of the model, the \u201ccautious\u201d risk profile and"
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"text": "term tactical changes to the asset mix"
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"text": "aiming to capitalise on specific investment opportunities. This flexibility"
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"text": "allows the Fund to try and take advantage of perceived pricing anomalies or"
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"text": "n as more favourable for one asset"
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"text": "class, sector or specific asset relative to others. The Fund aims to efficiently"
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"text": "gain exposure to global asset classes and may make use of active, passive"
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"text": "and semi passive methods to do so. The Fund is part of a range of"
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"text": "asset plus funds, each with their own risk profile, ranging from I (the lowest)"
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"text": "to V (the highest). This Fund is number II in the range. For more information"
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"text": "baseline exclusion policy"
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"text": "Appendix 2"
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"text": "of the Prospectus for information on these limited investment"
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"text": "restrictions."
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"text": "Performance \u0026 Risk Measurement:"
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"text": "process on either the Performance Index or the Volatility I"
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"text": "hold every asset in them, and may also hold assets that do not form part of"
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"text": "them. The Fund\u0027s returns could therefore be very different from those of the"
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"text": "Performance Index and the Volatility Index. Volatility measures how much"
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"text": "the returns"
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"text": "of the Fund may fluctuate and is an indicator of the level of risk"
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"text": "taken by the Investment Manager. There may be times when the Fund"
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"text": "operates outside of its defined risk range. The MSCI\u00ae All Country World Index"
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"text": "mpanies, as determined by"
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"text": "their market capitalisation (total market value of a company\u0027s outstanding"
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"text": "shares), from both developed and emerging markets, and the index is"
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"text": "designed to provide a broad measure of global equity market performance."
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