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Income generating funds

We offer a range of income generating funds that aim to provide an attractive, stable income for investors.

Illustrative asset allocations of the income generating funds

The pie charts below show how many different asset classes and geographic regions the income generating funds could be diversified across. These charts are illustrative and aim to give you an example of what the funds may look like. For the latest breakdowns and to see how the funds are diversified across underlying fund managers, please see our income solutions brochure.

MA Active Reserve Fund

Risk profile 2

This Fund aims: 
To achieve long-term growth from a combination of income and capital growth. It invests in corporate and government bonds, property, alternatives, cash and money markets.  

Platform availability

MM Monthly High Income Fund

Synthetic Risk and Reward Indicator score (SRRI) 3

This Fund aims:
To achieve an above-average level of income and maintain capital over the medium to long term by investing in a globally diversified portfolio of shares in UK companies, corporate and government bonds, and property.

Platform Availability

Diversified Global Income Fund

Synthetic Risk and Reward Indicator score (SRRI) 3

This Fund aims:
To provide income together with capital growth over the medium to long term.

Platform Availability

Diversified Real Assets Fund

Synthetic Risk and Reward Indicator score (SRRI) 3

This Fund aims:
To give investors exposure to alternative asset classes to help diversify an existing portfolio. It aims to generate a regular, stable income whilst investing in assets that help protect investors against the effects of inflation. 

Platform Availability

MA Active Moderate Income Fund

Risk profile 3

This Fund aims: 
T
o provide a higher level of income compared with current interest rates. It invests in shares of UK and international companies and in corporate and government bonds. 

Platform Availability

MA Active Intermediate Income Fund

Risk profile 4

This Fund aims: 
To achieve an above-average level of income and maintain capital over the medium to long term. It invests in shares of UK and international companies and in corporate and government bonds. 

Platform Availability

Global Equity Income Fund

Synthetic Risk and Reward Indicator score (SRRI) 5

This Fund aims: 
To produce a regular income by investing solely in equity funds across different geographies.

 

The value of your client's investment, and any income from it, can fall as well as rise and is not guaranteed. Your client may get back less than they originally invested. Furthermore, the value can fall as well as rise purely on account of exchange rate fluctuations. The Funds are allowed to invest over 35% of its assets in securities issued by a single local, national or supranational government (supranational government means an international union of different member states that share decision making, for example the European Union). Each of these funds can invest entirely in units of collective investment schemes. Some of the Architas Diversified Real Assets Fund’s portfolio is invested in non-mainstream assets, which during periods of stressed market conditions may be difficult to sell at a fair price, which may in turn cause prices to fluctuate more sharply than usual. For further information on any of the Architas funds, please refer to the Key Investor Information document or prospectus (which is available upon request).

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