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OEIC

abrdn Myfolio Enhanced ESG Index III Fund

Managed by abrdn Fund Managers LimitedPart of abrdn OEIC III
Latest factsheet
Jun 2026
Fund size
£189.7m
Yearly charge
0.25%
Manager fee
0.25%
Income yield
1.69%
Holdings
18
Launched
30 Jun 2022

To generate growth over the long term (5 years or more) while being managed to a defined level of risk. The fund is part of the MyFolio Enhanced ESG Index range, which offers five funds with different expected combinations of investment risk and return that adhere to the MyFolio Enhanced ESG assessment criteria. The fund is risk level III, which aims to be the middle risk fund in this range. Risk Target: The defined level of risk referred to above that the management team is targeting is within the range of 45-75% of world stock markets (represented by the MSCI World Index), over 10 years. There is no certainty or promise that this target will be achieved.

MyFolio PM Team (Fund manager)

Cumulative performance

PeriodFundSector averageBenchmarkvs sector
1M+0.82%
6M+8.08%
YTD+8.08%
1Y+17.59%
3Y+11.67%

Calendar-year performance

2023202420252026
+2.74%+11.73%+6.03%+17.59%

Top holdings · top 10: 78.30%

#HoldingWeight
1abrdn Evolve American Equity Index Fund X2 Acc17.00%
2abrdn Evolve UK Equity Index Fund X2 Acc13.40%
3L&G EM Gov Bond Local Ccy Index C GBP Acc7.60%
4abrdn Evolve European Equity Index Fund X Acc GBP7.50%
5abrdn Evolve Asia Pacific ex-Japan Equity Index X Acc7.00%
6iShares Green Bond Index Fund D GBP Hgd6.20%
7abrdn Global High Yield Sustainable Bond Z Acc Hedged GBP5.80%
8iShares MSCI EM ESG Enhanced UCITS ETF USD Acc4.80%
9abrdn Global REIT Tracker Fund X Acc4.60%
10L&G Future World Infrastructure C GBP Acc4.40%

Portfolio breakdown

Sector
Other30.50%
US Equities17.00%
UK Equities13.40%
Emerging Market Local Currency Bonds7.60%
European Equities7.50%
Asia Pacific Equities7.00%
Global Government Bonds6.20%
Global High Yield Bonds5.80%
Global Corporate Bonds4.90%

Share classes

ClassISINSEDOLTypeHedgedManager feeYearly chargeMinimum
Institutional B Fixed AccGB00BMXNWS12BMXNWS1acc0.30%0.30%£500k
Institutional S Fixed AccGB00BMXNWT29BMXNWT2acc0.25%0.25%£500.0m

Source factsheets

MonthPublished by the managerRead on
Jun 2026View original factsheet ↗21 Aug 2026
FCA reference 978987 · Check this fund on the FCA register ↗
Figures are read from the manager’s own published factsheet and may lag the market. Past performance is not a guide to future returns, and your capital is at risk. This is information, not advice.