The Fund’s investment objective is to achieve an increase in value and, consistent with a gradually changing asset allocation, hold investments that will pay out money for investors planning to retire in or within approximately five years after 2060. The Fund’s asset allocation will become more conservative as 2060 is approached and passed, moving from higher risk (such as shares) to mainly lower risk (such as bonds) investments.
The Fund will seek to achieve its investment objective by investing more than 90% of its assets in passive funds that track an index, which are managed or operated by the ACD or its associates (“Associated Schemes”). Direct investments (in transferable securities such as shares, bonds and other similar fixed income investments) may also be made.
The Fund is actively managed in that the Investment Adviser has discretion in respect of the Associated Schemes in which the Fund may invest and the allocations to them, each of which may change over time. The Investment Adviser manages the Fund through the pre-determined periodic rebalancing of its exposure to shares and bonds (and other similar fixed income investments), as detailed above.
The Fund attempts to remain fully invested and hold small amounts of cash except in extraordinary market, political or similar conditions where the Fund may temporarily depart from this investment policy.
Fund facts
Share class inception
05 Dec 2017
Minimum initial investment
£100,000.00
Investment structure
UK OEIC
Share Class Assets'
Total Assets
Asset Class
Multi-Asset
Domicile
United Kingdom
Strategy
Index
Currency
GBP
Investment manager
Vanguard Asset Management, Ltd.
Europe Equity Index Team
The value of investments, and the income from them, may fall or rise and investors may get back less than they invested.
Performance
Portfolio data
Allocation to underlying Vanguard funds
As at 30 Sep 2025
Percentage
U.S. Equity Index Fund GBP Acc
19.50%
FTSE Developed World ex-U.K. Equity Index Fund GBP Acc
19.23%
FTSE U.K. All Share Index Unit Trust GBP Acc
15.54%
Global Bond Index Fund GBP Hedged Acc
13.98%
FTSE North America UCITS ETF (USD) Accumulating
6.87%
Emerging Markets Stock Index Fund GBP Acc
6.34%
FTSE Developed Europe ex-U.K. Equity Index Fund GBP Acc
4.54%
FTSE 100 UCITS ETF (GBP) Accumulating
4.42%
U.K. Government Bond Index Fund GBP Acc
4.22%
Japan Stock Index Fund GBP Acc
2.38%
U.K. Investment Grade Bond Index Fund GBP Acc
1.76%
Pacific ex-Japan Stock Index Fund GBP Acc
1.04%
Total allocation percentages shown may not equal 100% due to rounding
Asset allocation
As at 30 Sep 2025
Percentage
Bond
19.95%
Short-term reserves
0.18%
Stock
79.87%
Prices and distribution
Prices
NAV Price (GBP)
£189.55
Change
+£0.750.40%
At closure 12 Nov 2025
NAV 52-week high
£189.55
At closure 13 Nov 2025
NAV 52-week low
£150.36
At closure 13 Nov 2025
NAV 52-week difference
£39.19
Change
+20.68%
At closure 13 Nov 2025
Historical Prices
-
Inception date
05 Dec 2017
Date
NAV (GBP)
12 Nov 2025
£189.5480
11 Nov 2025
£188.7988
10 Nov 2025
£188.1155
07 Nov 2025
£186.1515
06 Nov 2025
£187.0256
05 Nov 2025
£188.1246
04 Nov 2025
£188.0239
03 Nov 2025
£188.2008
31 Oct 2025
£188.1872
30 Oct 2025
£188.2651
Distribution history
Distribution frequency
—
Historical performance 31 Oct 2025
1.68%
All dividends are reinvested for the "Accumulation" shares.
Purchase information
Currency
Base currency: GBP
Fund codes
Bloomberg: VAR60GA
ISIN: GB00BF38WW17
MEX ID: VVNMA
SEDOL: BF38WW1
The sum of investment management fees (the fees paid to the portfolio manager to invest your money and manage the fund) and administrative and other expenses (which cover all costs and expenses connected with the operation of the fund, which includes administrative fees, shareholder's registration and transfer agency fees, custody fees and all other operating expenses).