Performance

Net Performance as at 31 August, 2018

Please click on the Fund names below for more information.

Equities Funds 1 Month % 3 Months % 1 Year % 3 Years % pa Inception % pa Inception Date
Aberdeen Standard Actively Hedged International Equities Fund 1.09 6.58 15.70 8.01 7.88 02/1993
Aberdeen Standard Asian Opportunities Fund 1.58 0.18 11.07 8.24 10.18 20/10/2003
Aberdeen Standard Australian Equities Fund 1.48 6.89 16.28 11.24 8.49 28/06/1999
Aberdeen Standard Australian Small Companies Fund 3.21 4.81 12.21 14.18 12.06 03/2001
Aberdeen Standard Emerging Opportunities Fund 0.14 0.36 0.98 6.17 10.18 30/06/2004
Aberdeen Standard Ex-20 Australian Equities Fund 2.59 5.78 12.59 14.38 9.69 12/1992
Aberdeen Standard Fully Hedged International Equities Fund -0.10 -0.02 5.38 6.90 4.71 05/2001
Aberdeen Standard International Equity Fund -1.66 2.42 6.52 10.38 4.82 30/06/1996
Aberdeen Standard Select Investment Actively Hedged International Equities Fund 1.07 6.50 15.38 7.78 3.50 10/1999
Fixed Income Funds 1 Month % 3 Months % 1 Year % 3 Years % pa Inception % pa Inception Date
Aberdeen Standard Active Index Income Fund* 0.51 0.82 3.16 3.32 5.86 01/2001
Aberdeen Standard Australian Fixed Income Fund 0.81 1.48 3.90 3.01 5.68 06/1993
Aberdeen Standard Australian Floating Rate Income Fund 0.03 0.37 2.18 2.27 4.55 08/2003
Aberdeen Standard Diversified Fixed Income Fund 0.40 0.76 2.23 3.27 6.30 05/2006
Aberdeen Standard Inflation Linked Bond Fund 0.19 1.10 3.52 1.81 6.98 07/1994

* Prior to 1 April 2017 the Fund was known as the Aberdeen Income-Focused Bond Fund

Multi-Asset Funds 1 Month % 3 Months % 1 Year % 3 Years % pa Inception % pa Inception Date
Aberdeen Standard Multi-Asset Real Return Fund -0.28 2.27 5.22 7.18 6.94 06/1994
Aberdeen Standard Multi-Asset Income Fund -0.23 2.07 2.49 4.39 6.07 10/2008

Note: Net performance figures are calculated using end-of-month exit prices, post standard fees, reflect the annual reinvestment of distributions and make no allowance for tax. If investing through an IDPS Provider, the total after fees performance returns of your investment in the Fund may be different from the information we publish due to cash flows specific to your portfolio and any fees charged by the IDPS Provider.