Synaptic Risk Rating Table

         
Cautious Moderately Cautious Balanced Moderately Adventurous Adventurous

Synaptic Risk Rating based on following analysis:
Strategic Asset Allocation Tactical Asset Allocation

Aberdeen Standard Capital

Capital

CMPS 1
CMPS 2
CMPS 3
CMPS 4
CMPS 5

Aberdeen Standard Investments

Investments

MyPortfolio Index I
MyPortfolio Index II
MyPortfolio Index III
MyPortfolio Index IV
MyPortfolio Index V
MyPortfolio Index Plus I
MyPortfolio Index Plus II
MyPortfolio Index Plus III
MyPortfolio Index Plus IV
MyPortfolio Index Plus V
MyPortfolio Select I
MyPortfolio Select II
MyPortfolio Select III
MyPortfolio Select IV
MyPortfolio Select V

Aegon

Aegon Conservative Core Portfolio
Aegon Cautious Core Portfolio
Aegon Balanced Core Portfolio
Aegon Balanced Plus Core Portfolio
Aegon Growth Core Portfolio
Aegon Growth Plus Core Portfolio
Aegon Adventurous Core Portfolio

AJ Bell

VT AJ Bell Passive Cautious fund

VT AJ Bell Passive Moderately Cautious fund

VT AJ Bell Passive Balanced fund

VT AJ Bell Passive Moderately
Adventurous fund

VT AJ Bell Passive Adventurous fund

VT AJ Bell Passive Global Growth fund

VT AJ Bell Income fund

VT AJ Bell Income & Growth fund

AJ Bell Passive MPS 1

AJ Bell Passive MPS 2

AJ Bell Passive MPS 3

AJ Bell Passive MPS 4

AJ Bell Passive MPS 5

AJ Bell Passive MPS 6

AJ Bell Passive MPS Income 1

AJ Bell Passive MPS Income 2

AJ Bell Active MPS 1

AJ Bell Active MPS 2

AJ Bell Active MPS 3

AJ Bell Active MPS 4

AJ Bell Active MPS 5

AJ Bell Active MPS 6

AJ Bell Active MPS Income 1

AJ Bell Active MPS Income 2

AJ Bell Pactive MPS 1

AJ Bell Pactive MPS 2

AJ Bell Pactive MPS 3

AJ Bell Pactive MPS 4

AJ Bell Pactive MPS 5

AJ Bell Pactive MPS 6

Architas

MA Passive Prudent
MA Passive Reserve
MA Passive Moderate
MA Passive Intermediate
MA Passive Progressive
MA Passive Growth
MA Passive Dynamic
MA Blended Reserve
MA Blended Moderate
MA Blended Intermediate
MA Blended Progressive
MA Blended Growth
MA Active Reserve
MA Active Moderate Income
MA Active Intermediate Income
MA Active Progressive
MA Active Growth
MA Active Dynamic
Architas Positive Future

Aviva Investors

MAF I
MAF II
MAF III
MAF IV
MAF V
Smooth Managed Fund

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(s) These portfolios were constructed with short investment timelines (5 year) in mind.
(l) These portfolios were constructed with longer investment timelines (15 year) in mind. Otherwise Synaptic Risk Ratings assume a 10 year investment horizon. You should consult Royal London directly for further information before recommending.

About the service: Synaptic Risk Ratings are worked out by analysing the underlying asset classes within the fund or portfolio. Synaptic Software have requested asset allocation information from participating providers in a specific format aligned to the risk framework of the system. These asset classes are used by the model to determine the risk rating, a process that may result in a level of approximation though in most cases this will be insignificant. It is also possible that certain asset classes may not be represented exactly in the manner that providers would prefer.

Reasonable endeavours are made to provide accuracy and consistency, however neither participating providers nor Synaptic Software can be held responsible for any errors or omissions. No recommendation should be made solely on the basis of the Synaptic Risk Ratings, and additional research should be undertaken for any case. This service is intended for use by investment professionals only.