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GBP Allocation 60-80% Equity

MyMap 5 Select ESG Fund

Managed by BlackRock Investment Funds
Latest factsheet
Jul 2026
Fund size
£746.6m
Yearly charge
0.05%
Manager fee
0.00%
Income yield
Holdings
23
Launched
10 Jun 2020

The aim of the Fund is to provide, over five-year periods, a return on your investment (generated through an increase in the value of the assets held by the Fund and/or income received from those assets) through an actively managed portfolio, whilst maintaining a risk profile (i.e. an evaluation of the risks (e.g. risk of losses) associated with the portfolio) for the Fund's portfolio of 8-11%, and also aims to invest whilst incorporating environmental, social and governance (ESG) commitments described below. The risk profile of the Fund's portfolio, for this purpose, is measured as the volatility (i.e. the degree of fluctuation) of its returns converted into an annual rate, over a five-year period.

Rafael Iborra · Christopher Ellis Thomas · Claire Gallagher

Cumulative performance

PeriodFundSector averageBenchmarkvs sector
1M-1.06%
3M+4.05%
6M+6.52%
YTD+6.97%
1Y+13.26%
3Y+11.76%
5Y+6.60%
Since launch+8.10%

Calendar-year performance

20212022202320242025
+13.05%-13.17%+12.25%+12.19%+11.56%

Top holdings · top 10: 78.40%

#HoldingWeight
1ISHARES MSCI USA SCRND UCITS ETF17.85%
2ISHARES US EQ SCR OP IND X ACC12.86%
3ISHS MSCI USA CTB EN ESG UCITS ETF9.87%
4ISHS $ TSY BOND 7-10YR UCITS ETF9.04%
5ISHRS EM MRKT SCR OP IND X ACC7.96%
6ISHRS CON EUR SCR OPT IN X ACC6.08%
7ISHARES EUR GOVT BOND CLIMATE UCIT5.14%
8ISHARES ULTRASHORT BOND ESG SRI3.39%
9ISHARES $ CORP BOND ESG UCIT USD A3.14%
10ISHARES UK EQ ESG SCR OP X ACC GBP3.07%

Share classes

ClassISINSEDOLTypeHedgedManager feeYearly chargeMinimum
Class X Acc British PoundGB00BFBFYZ16acc0.00%0.05%
GB00BFK3MH40
GB00BFBFYX91

Source factsheets

MonthPublished by the managerRead on
Jul 2026View original factsheet ↗23 Aug 2026
Jun 2026View original factsheet ↗2 Aug 2026
FCA reference 931141 · 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.