Multi-Asset Funds

Investing through Magnus’ MAFs means you can enjoy the benefit of never being out of the market.

The key difference between MAFs and Managed Portfolio Solutions (MPS) is that even when there’s a movement between funds, your Multi Asset Fund Wrapper remains invested.

Our MAFs consist of three portfolios; the 35% equity, 60% equity and 85% equity. Each portfolio comprises passive and active funds, while there is no capital gains tax due on trades that take place within the OEIC itself.

Magnus Multi-Asset Funds Portfolios

Our portfolios are aligned to Wren Sterling’s attitude to risk profiling and fall under these broad allocations:

35% Equity

65%

7%

21%

7%

60% Equity

40%

12%

35%

13%

85% Equity

15%

17%

49%

19%

Cash & Fixed Interest
UK Equity
International Equity
Regional Equity

These figures are correct as at January 2025.

Download our Brochure

Find out more about our investing strategy and competitive pricing in our brochure, where you’ll also find more details about our Multi-Asset funds.

MFDM Multi Asset funds brochure cover