Access key fund documentation and performance reports.
The AIMS Target Return Fund is a multi-strategy portfolio targeting an annual return of cash plus five per cent per annum above the Central Bank base rate over a rolling three-year period (gross of fees), with less than half the volatility of global equities.
It seeks to deliver returns that are uncorrelated to other asset classes, acting as a diversifier within investors’ broader portfolios and providing some protection against the impact of equity market volatility.
Multi-strategy investing that harnesses economic analysis, investment insight and robust portfolio construction.
For further information on the risks and risk profiles of our funds, please refer to the relevant KIID and Prospectus.
Chief Investment Officer, Multi-asset & Macro and Portfolio Manager, AIMS Target Return and Target Income Funds
Head of Multi-Strategy and Portfolio Manager, AIMS Target Return, Target Income and Fixed Income Funds
Head of Rates and Portfolio Manager, AIMS Fixed Income and Target Return Funds
Read more about the fund
Multi-asset & multi-strategy views