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At a glance

Taking the global approach. Our Global share fund invests in shares across different countries and regions, to spread your risk whilst aiming for higher returns.

Our experts use Environmental, Social and Governance (ESG) considerations to help select what to invest in.


Download Key Information

Highlights

Dynamically managed

Adjusts how much is invested in each region based on our latest research and insights.

Aims for higher growth

Higher potential to grow your money in the longer term.

All done for you

Managed for you by our dedicated team of investment experts.

How your money's invested

This fund provides the greatest geographic diversity of all our funds and invests 100% in funds with higher potential returns but with higher level of risk (like shares).

Our experts review this mix regularly considering the economic outlook for each geographic region.

Typical mix

  • 60% North America
  • 12% Europe (excluding UK)
  • 6% Japan
  • 4% UK
  • 18% The rest, other areas including emerging markets

Remember, the value of investments can go up and down, so you may get back less money than you put in. Tax depends on your individual circumstances and the regulations may change in the future.

Where your money's invested

Invests in shares across different countries and regions, giving you real geographic diversity.

Here's the detail at 31 March 2024.

Key:
Higher riskShares (emerging markets): 23%
Higher riskShares (UK): 3%
Higher riskReal estate investment trusts: 0%
Higher riskShares (overseas developed): 74%
Higher riskBonds (emerging markets): 0%
Higher riskBonds (high yield): 0%
Lower riskGlobal corporate bonds: 0%
Lower riskUK corporate bonds: 0%
Lower riskGlobal government bonds: 0%
Lower riskUK Government bonds (Gilts): 0%
Lower riskShort maturity bonds: 0%
Lower riskCash: 0%

Higher risk

  • 23% - Shares (emerging markets)
  • 3% - Shares (UK)
  • 0% - Real estate investment trusts
  • 74% - Shares (overseas developed)
  • 0% - Bonds (emerging markets)
  • 0% - Bonds (high yield)

Lower risk

  • 0% - Cash
  • 0% - Short maturity bonds
  • 0% - UK Government bonds (Gilts)
  • 0% - Global government bonds
  • 0% - UK corporate bonds
  • 0% - Global corporate bonds

How the fund invests

Your money is invested in a group of funds, rather than directly in stocks and shares. This is known as a fund of funds.

Top funds

The following is up-to-date as of 31 March 2024.

Amount investedFund
18.1%iShares MSCI USA ESG Enhanced UCITS ETF
18.0%abrdn Sustainable Index American Equity
17.8%iShares US Equity ESG Index
17.4%iShares MSCI EM ESG ETF
9.1%iShares Continental European Equity ESG
7.0%iShares MSCI Japan ESG Enhanced
6.1%L&G Future World ESG North America Index
4.0%iShares EM Equity ESG Index
1.0%abrdn Asia ex-Japan Equity Tracker
1.0%abrdn Sustainable Index UK Equity

Which regions?
Amount investedRegion
57.4%North America
22.7%Emerging Markets
13.0%Europe (Excluding UK)
3.0%UK
2.9%Japan
1.0%Asia (Excluding Japan)
How the fund is invested

What you could've earned already

The graph below gives you an indication of how much you could've earned, after charges, if you had invested £10,000 in this approach five years ago. Remember, past performance isn't a reliable guide to future performance.

The following is up-to-date as of 31 March 2024.


Key:
£7.5k
£10k
£12.5k
£15k
  • Mar-19: £10,000
    Mar-19: £10,000
    2019
  • Apr-19: £10,332
    Apr-19: £10,249
  • May-19: £10,066
    May-19: £9,977
  • Jun-19: £10,492
    Jun-19: £10,461
  • Jul-19: £10,856
    Jul-19: £10,757
  • Aug-19: £10,384
    Aug-19: £10,438
  • Sep-19: £10,638
    Sep-19: £10,619
  • Oct-19: £10,499
    Oct-19: £10,482
  • Nov-19: £10,663
    Nov-19: £10,610
  • Dec-19: £10,933
    Dec-19: £10,880
  • Jan-20: £10,641
    Jan-20: £10,619
    2020
  • Feb-20: £10,101
    Feb-20: £10,035
  • Mar-20: £8,794
    Mar-20: £8,824
  • Apr-20: £9,443
    Apr-20: £9,408
  • May-20: £9,847
    May-20: £9,866
  • Jun-20: £10,209
    Jun-20: £10,279
  • Jul-20: £10,116
    Jul-20: £10,108
  • Aug-20: £10,411
    Aug-20: £10,374
  • Sep-20: £10,407
    Sep-20: £10,448
  • Oct-20: £10,248
    Oct-20: £10,261
  • Nov-20: £11,251
    Nov-20: £11,277
  • Dec-20: £11,584
    Dec-20: £11,697
  • Jan-21: £11,630
    Jan-21: £11,683
    2021
  • Feb-21: £11,660
    Feb-21: £11,725
  • Mar-21: £11,913
    Mar-21: £12,056
  • Apr-21: £12,217
    Apr-21: £12,414
  • May-21: £12,171
    May-21: £12,405
  • Jun-21: £12,457
    Jun-21: £12,696
  • Jul-21: £12,222
    Jul-21: £12,446
  • Aug-21: £12,530
    Aug-21: £12,824
  • Sep-21: £12,452
    Sep-21: £12,668
  • Oct-21: £12,489
    Oct-21: £12,756
  • Nov-21: £12,409
    Nov-21: £12,647
  • Dec-21: £12,671
    Dec-21: £12,900
  • Jan-22: £12,200
    Jan-22: £12,542
    2022
  • Feb-22: £12,038
    Feb-22: £12,348
  • Mar-22: £12,369
    Mar-22: £12,618
  • Apr-22: £12,146
    Apr-22: £12,416
  • May-22: £12,141
    May-22: £12,449
  • Jun-22: £11,557
    Jun-22: £11,804
  • Jul-22: £11,946
    Jul-22: £12,266
  • Aug-22: £12,087
    Aug-22: £12,407
  • Sep-22: £11,371
    Sep-22: £11,581
  • Oct-22: £11,248
    Oct-22: £11,610
  • Nov-22: £11,987
    Nov-22: £12,510
  • Dec-22: £11,872
    Dec-22: £12,244
  • Jan-23: £12,417
    Jan-23: £12,873
    2023
  • Feb-23: £12,290
    Feb-23: £12,648
  • Mar-23: £12,181
    Mar-23: £12,638
  • Apr-23: £12,252
    Apr-23: £12,645
  • May-23: £12,161
    May-23: £12,473
  • Jun-23: £12,267
    Jun-23: £12,672
  • Jul-23: £12,585
    Jul-23: £13,067
  • Aug-23: £12,259
    Aug-23: £12,702
  • Sep-23: £12,305
    Sep-23: £12,792
  • Oct-23: £11,841
    Oct-23: £12,341
  • Nov-23: £12,397
    Nov-23: £12,927
  • Dec-23: £12,917
    Dec-23: £13,458
  • Jan-24: £13,058
    Jan-24: £13,554
    2024
  • Feb-24: £13,505
    Feb-24: £14,236
  • Mar-24: £13,969
    Mar-24: £14,710
2019 2024

March 2019 to
March 2020
March 2020 to
March 2021
March 2021 to
March 2022
March 2022 to
March 2023
March 2023 to
March 2024
This fund-12.1%35.6%3.9%-1.5%14.7%
Benchmark*-11.8%36.6%4.7%0.2%16.4%
*The fund aims to beat the performance of its benchmark (MSCI All Countries World GBP - a measure of global share market returns), after charges, measured over any three-year period. The fund changed its investment strategy and benchmark on 30 September 2023. Performance shown up until that date relates to the previous strategy and benchmark.

The ongoing charge changed from 0.75% to 0.45% on 6 January 2024. The performance shown is based on the current annual charge, with adjustments made to prior years to reflect the current charging structure for this fund

Source Lipper, total return (income reinvested).

Key information

Before investing please make sure you've read the following:

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