Aberdeen Dynamic Allocation Fund

Important information

Investment Objective

The Aberdeen Dynamic Allocation Fund seeks total return.

Holdings

TOP HOLDINGS (all classes) as of 

Name Percent
WISDOMTREE TST EUROPE HEDGED EQTY FD 0.11851
ISHARES TST S&P500 INDX FUND 0.11829
ISHARES TST RUSSELL 2000 ETF 0.0997
ISHARES TST RUSSELL MID CAP ETF FUND 0.09239
EATON VANCE FLOATING RATE-I FUND USD 0.08311
ISHARES MSCI JAPAN ETF NEW(POST REV SPLT) 0.06515
ISHARES EUROZONE ETF 0.05838
ISHARES TST EDGE U S FIXED INCOME BALAN 0.05013
ISHARES TST MSCI EAFE ETF 0.0493
ISHARES GBL HIGH YLD CORP BD ETF 0.0404

Risk considerations

The Fund is subject to different levels and combinations of risk, based on its actual allocation among the various asset classes and underlying funds. The Fund will be affected by stock and bond market risks, among others.

Foreign securities are more volatile, harder to price and less liquid than U.S. securities; and are subject to different accounting and regulatory standards, and political and economic risks. These risks are enhanced in emerging markets countries.

The Fund invests in non-traditional asset classes, which may involve riskier types of securities or investments than those offered by other asset classes.

Please read the prospectus for more detailed information regarding these risks.