Standard Life MyFolio Active II
Managed Defensive (<35% Equity)
The Standard Life MyFolio Active II is an actively managed pension fund which has made a return of 17.8% over the past 3 years (as of 19 May 2026).
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162.13
EUR
+23.79 (+17.20%) past 3 year
Performance data last updated: 19 May 2026Fund insights
Detailed information extracted from the fund factsheet.
Managed by Aberdeen Investments
The fund and its holdings may use derivatives for the purpose of efficient portfolio management, reduction of risk or to meet its respective investment objective if this is permitted and appropriate.
ESG & sustainability
The Fund is classified as Article 8 under the EU’s Sustainable Finance Disclosure Regulation (“SFDR”). Article 8 funds are those that promote social and/or environmental characteristics, invest in companies that follow good governance, give binding commitments but do not have a sustainable investment objective. A minimum of 65% of the Fund’s assets are aligned with social and/or environmental characteristics. The Fund invests a maximum of 35% of assets in the “Other” category, which include cash, money market instruments, derivatives, Developed Global Government Bonds (nominal and index linked) and investments not aligned with social and/or environmental characteristics. Aberdeen Investments, the Investment Manager of the fund, integrates sustainability risks and opportunities into its research, analysis and investment decision-making process. Aberdeen Investments believes that the consideration of sustainability risks and opportunities of a company can have a material impact on a company’s competitive position and future success and as such on long-term investment returns for investors. Aberdeen Investments' ESG integration requires, in addition to its inclusion in the investment decision making process, appropriate monitoring of sustainability considerations in risk management, portfolio monitoring, engagement and stewardship activities. Aberdeen Investments also engages with policymakers on ESG and stewardship matters. Combining the integration of sustainability risks and opportunities with broader monitoring and engagement activities may affect the value of investments and therefore returns.
A minimum of 65% of the Fund’s assets are aligned with social and/or environmental characteristics.
Frequently asked questions
Common questions about Standard Life MyFolio Active II.
The Standard Life Ireland MyFolio Active II Fund invests across a broad mix of asset classes, including equities, fixed and variable rate bonds, property, cash and other instruments. It also uses collective investment schemes, so some exposure comes through other funds rather than only direct holdings. The fund typically keeps a high exposure to lower risk assets such as bonds, which means it is generally positioned more conservatively than a heavily equity-focused fund.
The Standard Life Ireland MyFolio Active II Fund is designed to deliver long-term total return, but it typically has a high exposure to lower risk assets such as bonds. That makes it more cautious in style than an equity-heavy fund, while still allowing for some growth potential through shares and other assets. Investors should still expect some ups and downs because the fund can also invest in equities and property.
The Standard Life Ireland MyFolio Active II Fund is managed by abrdn, with Aberdeen Investments as the underlying investment manager. The top holdings show a strong emphasis on Aberdeen bond funds, alongside selected equity funds. This suggests the fund uses Aberdeen’s specialist building blocks to assemble a diversified multi-asset portfolio.
The Standard Life Ireland MyFolio Active II Fund carries risks from the different assets it holds, especially equities, bonds, property and emerging markets. Equities can move sharply up or down, while bond values can fall if interest rates rise or if the issuer cannot repay the loan; in plain language, that means the income or capital value can be hit if borrowing conditions worsen. Property can also be difficult to sell quickly, and emerging markets can be more volatile because they may face greater political or economic challenges.
The Standard Life Ireland MyFolio Active II Fund is classified as an Article 8 fund and promotes social and/or environmental characteristics. At least 65% of its assets are aligned with those characteristics, while up to 35% can be held in the ‘Other’ category, which includes cash, money market instruments, derivatives and some government bonds or non-aligned investments. Aberdeen Investments also integrates sustainability risks and opportunities into its research, portfolio monitoring, engagement and stewardship.
Standard Life MyFolio Active II
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