Edit 1: someone was asking what this means. This sorts all companies in the s&p500 by a value function. The function uses quarterly earnings growth, price to book ratio, peg ratio, 52 week change. The list is sorted by each metric and each company is assigned a value. For example the company with the lowest price to book gets 1 point. Powered by a machine learning based prospecting engine and a modern transaction wizard, Stackfolio’s online marketplace for loan trading is revolutionizing how thousands of institutions transact in the whole loan and participation markets.
A fund of funds solution designed to meet demand from advisers and clients for a cost-effective, risk-targeted solution to help meet long-term investment needs.
MyFolio is a flexible fund-of-funds investment solution. A 'fund of funds' is a fund made up of other collective investment funds rather than investing directly in stocks, bonds or other investments itself.
MyFolio consists of a range of multi-asset, fund of funds, split into different investment styles and risk levels, incorporating active and passive investment funds. For each range, we offer individual funds that target a different level of risk (from lower risk through to higher risk). MyFolio is therefore a flexible, all-encompassing investment solution that allows you to choose funds based on a preferred style and attitude to risk.
Stockfolio 1 500000
check_circleCost-effective outsourced solution
The team and resources behind MyFolio take care of the asset allocation, fund selection and ongoing rebalancing of portfolios, allowing advisers to focus on supporting their clients’ investment objectives
check_circleChoice and flexibility
Pomodoro time pro 1 2. MyFolio offers different investment styles and up to five risk levels to meet different client needs and preferences
check_circleAdviser support
Access the Lookthrough Tool to create customised client reports, and find the latest fund information, commentary and updates
Index
Five funds investing primarily in a range of tracker funds managed by Aberdeen Standard Investments. These underlying funds will, therefore, follow their respective index down as well as up. This is the lowest cost option as it primarily invests in ASI trackers and does not undertake any tactical decisions between its annual Strategic Asset Allocation reviews.
Market
Five funds investing primarily in a range of tracker funds which aim to replicate the performance of an index such as the FTSE All Share or the S&P 500. These underlying funds will, therefore, follow their respective index down as well as up.
Managed
Five portfolios offering a competitively-priced option as they invest mainly in funds run by Aberdeen Standard Investments. We have considerable expertise investing across the major asset classes such as equities, property, bonds and alternative investments.
Multi-Manager
Five portfolios investing in selected funds from some of the leading investment managers in the market. We carry out in-depth research to identify funds we believe to be among the best in the industry.
Monthly Income
Three funds with a bias towards generating income. These funds invest in carefully selected, income-focused funds from leading managers in the market.
Stockfolio 1 5000 Watt
- Five funds investing primarily in a range of tracker funds managed by Aberdeen Standard Investments. These underlying funds will, therefore, follow their respective index down as well as up. This is the lowest cost option as it primarily invests in ASI trackers and does not undertake any tactical decisions between its annual Strategic Asset Allocation reviews.
Market
Five funds investing primarily in a range of tracker funds which aim to replicate the performance of an index such as the FTSE All Share or the S&P 500. These underlying funds will, therefore, follow their respective index down as well as up.Managed
Five portfolios offering a competitively-priced option as they invest mainly in funds run by Aberdeen Standard Investments. We have considerable expertise investing across the major asset classes such as equities, property, bonds and alternative investments.Multi-Manager
Five portfolios investing in selected funds from some of the leading investment managers in the market. We carry out in-depth research to identify funds we believe to be among the best in the industry.Monthly Income
Three funds with a bias towards generating income. These funds invest in carefully selected, income-focused funds from leading managers in the market.
The MyFolio Lookthrough Tool has been designed to enable you to access performance, the latest fund updates and commentary quickly and easily, with options for flexible fund charting and creating customised client reports.
You can listen to the latest and register for upcoming MyFolio webcasts here, to hear directly from our fund managers and investment specialists.
MyFolio quarterly webcast
21 October 2020 – click here for the webcast
MyFolio quarterly webcast
8 July 2020 – click here for the webcast
MyFolio: Questions answered
13 July 2020 – click here for the webcast
Stockfolio 1 5000 Btu
Risk WarningStockfolio 1 50000
Risk warning - Investment involves risk. The value of investments, and the income from them, can go down as well as up and an investor may get back less than the amount invested. Past performance is not a guide to future results.