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Active Funds Try and beat the performance of markets in your chosen sector, with investments chosen by fund managers.
Passive Funds Aim to match the performance of the markets in your chosen sector, rather than trying to beat them.
Sustainable Investment Funds ESG Consider environmental, social and governance (ESG) factors and funds considered by Aviva to be the best-in-class at integrating these factors when investing.

84 funds available

The table below shows you the past performance, charges and other important details of each fund. You can compare the details of up to four funds.

Remember, past performance is not a reliable indicator of future results. The value of your investment can go down as well as up, and you may get back less than has been invested.

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Active funds (71)

Past performance (% Growth)
Fund name and factsheet KIID and KID (Help?) OCF (Help?) 17/04/23 - 17/04/24 17/04/22 - 17/04/23 17/04/21 - 17/04/22 17/04/20 - 17/04/21 17/04/19 - 17/04/20 Add to basket Compare (max 4)
Fund name and factsheet AXA Investment Managers UK Ltd AXA Framlington Global Sustainable Managed Class Z Accumulation

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0.68%
7.69% -0.53% -3.15% 23.50% 0.29%
Fund name and factsheet AXA Investment Managers UK Ltd AXA Framlington Global Sustainable Managed Class Z Income

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0.69%
7.63% -0.47% -3.18% 23.51% 0.26%
Fund name and factsheet Aegon AM Ethical Equity Class B Accumulation

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0.77%
9.67% -6.39% -8.67% 34.53% -8.86%
Fund name and factsheet Aegon AM Ethical Equity Class B Income

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0.77%
9.68% -6.40% -8.68% 34.53% -8.85%
Fund name and factsheet Artemis Income Class I Accumulation

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0.8%
7.19% 4.50% 6.38% 34.22% -17.12%
Fund name and factsheet Artemis Income Class I Income

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0.8%
7.20% 4.50% 6.38% 34.22% -17.12%
Fund name and factsheet BNY Mellon Long-Term Global Equity (GB) Class W Accumulation

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0.79%
11.60% 7.20% 5.03% 26.74% 1.53%
Fund name and factsheet BNY Mellon Long-Term Global Equity (GB) Class W Income

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0.79%
11.60% 7.21% 5.03% 26.74% 1.53%
Fund name and factsheet BNY Mellon Multi-Asset Global Balanced (GB) Class W Accumulation

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0.68%
8.53% 3.95% 5.65% 23.14% -0.84%
Fund name and factsheet BNY Mellon Multi-Asset Global Balanced (GB) Class W Income

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0.68%
8.53% 3.95% 5.63% 23.14% -0.86%
Fund name and factsheet BNY Mellon Real Return (GB) Class W Accumulation

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0.94%
4.25% -2.19% -1.50% 17.78% 1.26%
Fund name and factsheet BNY Mellon Real Return (GB) Class W Income

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0.94%
4.25% -2.19% -1.50% 17.79% 1.26%
Fund name and factsheet Baillie Gifford Japanese Class B Accumulation

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0.63%
1.96% 0.99% -16.44% 41.50% -6.91%
Fund name and factsheet Baillie Gifford Japanese Class B Income

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0.63%
1.96% 1.03% -16.48% 41.61% -6.94%
Fund name and factsheet Baillie Gifford Responsible Global Equity Income Class B Accumulation ESG

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0.53%
6.82% 9.28% 6.95% 32.23% 1.73%
Fund name and factsheet Baillie Gifford Responsible Global Equity Income Class B Income ESG

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0.53%
6.86% 9.27% 6.91% 32.27% 1.64%
Fund name and factsheet BlackRock Consensus 100 Class D Acc Accumulation

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0.21%
14.72% 3.33% 6.00% 33.78% -3.43%
Fund name and factsheet BlackRock Consensus 35 Class D Acc Accumulation

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0.22%
3.36% -4.14% -2.92% 7.58% 2.69%
Fund name and factsheet BlackRock Consensus 60 Class D Acc Accumulation

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0.21%
4.50% -1.72% -0.34% 14.24% -2.00%
Fund name and factsheet BlackRock Consensus 70 Class D Acc Accumulation

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0.21%
5.84% -0.38% 0.80% 17.49% -2.98%
Fund name and factsheet BlackRock Consensus 85 Class D Acc Accumulation

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0.21%
8.02% 1.45% 2.57% 22.07% -4.24%
Fund name and factsheet BlackRock European Dynamic Class FD Accumulation

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0.91%
12.65% 11.53% -7.26% 57.23% 1.64%
Fund name and factsheet BlackRock European Dynamic Class FD Hedged Accumulation

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0.91%
17.82% 5.88% -3.77% 57.28% -0.60%
Fund name and factsheet BlackRock European Dynamic Class FD Hedged Income

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0.91%
16.75% 5.91% -3.79% 57.44% -0.55%
Fund name and factsheet BlackRock European Dynamic Class FD Income

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0.91%
12.54% 11.53% -7.26% 57.21% 1.64%
Fund name and factsheet BlueBay Global High Yield ESG Bond Class C Accumulation

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0.8%
8.99% -2.93% - - -
Fund name and factsheet BlueBay Global High Yield ESG Bond Class C Income

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0.8%
9.01% -2.93% - - -
Fund name and factsheet CT Dynamic Real Return Class S Accumulation

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0.5%
6.04% -1.66% -0.49% 17.72% -2.75%
Fund name and factsheet CT Dynamic Real Return Class Z Income

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0.91%
5.68% -2.01% -0.83% 17.31% -3.08%
Fund name and factsheet FP Pictet FP Pictet Multi Asset Portfolio. Class A Accumulation

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0.86%
8.19% -3.46% 1.58% 20.43% -5.27%
Fund name and factsheet FSSA IM Asian Equity Plus Class III Income

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1.05%
-10.43% 4.23% -7.18% 31.18% -3.32%
Fund name and factsheet Federated Hermes Global High Yield Credit Class F (Hedged) Accumulation

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0.82%
7.61% -2.88% -5.76% 17.49% -6.93%
Fund name and factsheet Federated Hermes Global High Yield Credit Class F (Hedged) Income

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0.82%
7.65% -2.81% -5.74% 17.67% -6.97%
Fund name and factsheet Federated Hermes Global High Yield Credit Class F Accumulation

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0.79%
2.83% 2.36% -10.75% 16.41% -6.78%
Fund name and factsheet Federated Hermes Multi Strategy Credit Class F Accumulation

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0.76%
6.41% 1.65% 1.32% 4.12% 2.23%
Fund name and factsheet Federated Hermes Multi Strategy Credit Class F Hedged Accumulation

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0.79%
6.66% -4.65% -4.41% 14.51% -4.30%
Fund name and factsheet Federated Hermes Multi Strategy Credit Class F Hedged Income

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0.79%
6.70% -4.54% -4.49% 14.49% -4.41%
Fund name and factsheet Federated Hermes Multi Strategy Credit Class F Income

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0.76%
6.38% 1.63% 1.32% 4.13% 2.21%
Fund name and factsheet Fidelity (Onshore) Global Dividend Class W Accumulation

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0.93%
7.63% 7.65% 3.98% 18.73% 4.58%
Fund name and factsheet Fidelity (Onshore) Global Dividend Class W Inc (monthly) shares Income

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0.93%
7.69% 7.60% 3.97% 18.79% 4.51%
Fund name and factsheet Fidelity (Onshore) Global Dividend Class W Income

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0.93%
7.64% 7.69% 3.93% 18.75% 4.54%
Fund name and factsheet J O Hambro CM UK Dynamic Class Y Accumulation

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0.68%
8.32% 8.01% 7.44% 41.42% -28.40%
Fund name and factsheet J O Hambro CM UK Dynamic Class Y Income

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0.68%
8.37% 7.99% 7.35% 41.35% -28.44%
Fund name and factsheet JPMorgan Emerging Markets Income Class C Accumulation

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0.9%
5.67% 1.14% -1.81% 40.46% -12.84%
Fund name and factsheet JPMorgan Emerging Markets Income Class C Income

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0.88%
5.68% 1.13% -1.85% 40.53% -12.82%
Fund name and factsheet Janus Henderson Investors Absolute Return Class I Accumulation

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1.07%
6.81% 3.85% -1.01% 5.00% 2.66%
Fund name and factsheet Janus Henderson Investors European Selected Opportunities Class I Accumulation

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0.86%
13.43% 15.76% -2.97% 36.02% -2.76%
Fund name and factsheet Janus Henderson Investors European Selected Opportunities Class I Income

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0.86%
13.43% 15.73% -2.96% 36.01% -2.73%
Fund name and factsheet Janus Henderson Investors UK Responsible Income Class I Accumulation ESG

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0.85%
4.34% 5.56% 1.59% - -
Fund name and factsheet Janus Henderson Investors UK Responsible Income Class I Income ESG

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0.85%
4.40% 5.55% 1.40% 30.70% -12.95%
Fund name and factsheet Jupiter Strategic Bond Class I Accumulation

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0.74%
0.64% -5.67% -4.22% 5.15% 5.01%
Fund name and factsheet Jupiter Strategic Bond Class I Income

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0.74%
0.65% -5.69% -4.22% 5.15% 5.01%
Fund name and factsheet Lindsell Train WS Lindsell Train UK Equity Accumulation Accumulation

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0.65%
-6.39% 10.20% -1.84% 18.18% -6.13%
Fund name and factsheet Lindsell Train WS Lindsell Train UK Equity Income Income

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0.65%
-6.39% 10.20% -1.84% 18.19% -6.13%
Fund name and factsheet Liontrust Sustainable Future Global Growth Class 2 Accumulation ESG

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0.85%
14.09% -2.69% -5.53% 43.69% 5.57%
Fund name and factsheet Liontrust Sustainable Future Managed Class 2 Income ESG

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0.85%
9.45% -3.86% -6.99% 34.33% 3.07%
Fund name and factsheet Liontrust Sustainable Future Managed Class 6 (Net) Accumulation ESG

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0.85%
9.45% -3.86% -6.99% 34.33% 3.07%
Fund name and factsheet Liontrust UK Smaller Companies Class I Accumulation

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1.32%
5.08% -14.44% -2.80% 51.61% -1.02%
Fund name and factsheet Liontrust UK Smaller Companies Class I Income

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1.32%
5.08% -14.44% -2.80% 51.61% -1.01%
Fund name and factsheet MI TwentyFour Investment Funds Monument Bond Class I Net Accumulation

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0.63%
9.49% 1.26% 0.57% 7.24% -3.80%
Fund name and factsheet MI TwentyFour Investment Funds Monument Bond Class I Net Income

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0.63%
9.47% 1.26% 0.57% 7.24% -3.80%
Fund name and factsheet Robeco RobecoSAM Global SDG Credits Class IEH Income

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0.53%
2.75% -4.59% -8.72% 5.95% -
Fund name and factsheet Robeco RobecoSAM Global SDG Credits Class IH Accumulation

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0.53%
2.74% -4.54% -8.68% 5.96% 7.06%
Fund name and factsheet Royal London Corporate Bond Class M Accumulation

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0.56%
7.84% -7.82% -4.37% 8.23% 4.52%
Fund name and factsheet Royal London Corporate Bond Class M Income

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0.56%
7.78% -7.83% -4.38% 8.22% 4.55%
Fund name and factsheet Royal London Ethical Bond Class M Accumulation

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0.55%
6.44% -9.25% -5.16% 6.97% 5.00%
Fund name and factsheet Royal London Ethical Bond Class M Income

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0.55%
6.45% -9.23% -5.11% 6.98% 4.97%
Fund name and factsheet Royal London Sustainable Leaders Trust Class C Accumulation ESG

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0.7602%
5.42% 3.74% 6.28% 20.84% 4.99%
Fund name and factsheet Royal London Sustainable Leaders Trust Class C Income ESG

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0.7602%
5.43% 3.72% 6.29% 20.81% 5.02%
Fund name and factsheet Schroder Asian Income Class Z Accumulation

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0.91%
1.89% 1.30% -0.15% 41.39% -12.59%
Fund name and factsheet Schroder Asian Income Class Z Income

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0.91%
1.88% 1.28% -0.13% 41.36% -12.59%

Passive funds (13)

Past performance (% Growth)
Fund name and factsheet KIID and KID (Help?) OCF (Help?) 17/04/23 - 17/04/24 17/04/22 - 17/04/23 17/04/21 - 17/04/22 17/04/20 - 17/04/21 17/04/19 - 17/04/20 Add to basket Compare (max 4)
Fund name and factsheet BlackRock iShares Continental European Equity Index Class H Accumulation

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0.06%
7.58% 13.54% -0.49% 36.54% -8.65%
Fund name and factsheet BlackRock iShares Continental European Equity Index Class H Income

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0.06%
7.16% 13.53% -0.44% 36.42% -8.70%
Fund name and factsheet BlackRock iShares Corporate Bond Index Class H Accumulation

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0.11%
4.25% -8.83% -7.33% 4.19% 6.11%
Fund name and factsheet BlackRock iShares Corporate Bond Index Class H Income

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0.11%
3.60% -8.83% -7.35% 4.20% 6.14%
Fund name and factsheet BlackRock iShares ESG Overseas Corporate Bond Index Class H Accumulation

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0.11%
1.54% 2.26% -5.66% -1.47% 10.18%
Fund name and factsheet BlackRock iShares ESG Overseas Corporate Bond Index Class H Income

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0.11%
1.54% 2.26% -5.66% -1.46% 10.18%
Fund name and factsheet BlackRock iShares Emerging Markets Equity Index Class H Accumulation

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0.2%
3.80% -1.95% -7.15% 34.35% -10.87%
Fund name and factsheet BlackRock iShares Emerging Markets Equity Index Class H Income

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0.2%
3.94% -1.95% -7.16% 34.34% -10.90%
Fund name and factsheet BlackRock iShares Japan Equity Index Class H Accumulation

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0.08%
16.28% 7.18% -9.22% 25.09% -0.93%
Fund name and factsheet BlackRock iShares North American Equity Index Class H Accumulation

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0.07%
22.66% -1.00% 11.72% 35.07% 4.78%
Fund name and factsheet BlackRock iShares Overseas Government Bond Index Class H Accumulation

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0.11%
-4.73% -0.43% -6.29% -8.34% 13.24%
Fund name and factsheet BlackRock iShares Pacific ex Japan Equity Index Class H Accumulation

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0.11%
3.90% -0.70% -1.62% 47.48% -9.45%
Fund name and factsheet BlackRock iShares UK Equity Index Class H Accumulation

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0.05%
3.66% 5.79% 8.71% 28.39% -18.21%

All fund data is provided by Broadridge, with the exception of price and performance data, which is provided by FE.

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Explore our other investment options to decide which suits you best.

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Nothing on this site is personalised advice or a recommendation. If you need a personalised recommendation based on your personal circumstances, you should seek financial advice.

For important information on the service we will be providing you with, read key facts about our services and costs.

Choose a sector

Each sector contains funds invested in similar assets, potentially spread out across a range of markets. For example, the UK equity sector contains funds invested in companies that are either headquartered or do the majority of their business in the UK. These companies could then be spread out across a range of markets, from small start-ups to large multinationals.

Sustainable investment funds

Filters list to show funds which are considered to be ESG leaders against criteria set by the team at Aviva Investors.

Fund Managers may take different approaches to ESG investing and may invest based on a number of different factors. It's important that you check the KID/KIID for details on a fund's investment objectives to make sure it matches your requirements and the outcomes you want as an investor.

KIID / KID

You'll find a fund's aim, risk level and charges on its Key Information Document (KID) or its Key Investor Information Document (KIID). Read it - it will help you make an informed decision on whether to invest.

OCF

Work out how much your fund management fees will cost with the Ongoing Charge Figure (OCF). Remember, this fee is variable, may change over time, and excludes any performance fees or portfolio transaction costs.