A simplified and efficient way to invest in a broadly diversified balanced equity portfolio.
Reasons to Invest
Global Diversification:
Globally diversified exposure to a broad range of asset classes and investments, supporting more resilient portfolio outcomes.
Balanced Growth & Income:
Designed to provide a balance of long-term capital growth, investment income, and volatility management.
All‑in‑One, Cost‑Efficient Solution:
All-in-one convenience that simplifies portfolio construction, monitoring, and ongoing management, with cost-efficient access to BlackRock’s scale and expertise to enhance growth potential through smarter investment decisions.
Key Facts
Inception Date
July 9, 2026
Management Fee ♦
0.35% (F), 0.25% (P)
RSP-Eligible
Yes
Distributions ♦
Paid Annually
Currency Hedged (CAD)
No
Effective Investments ^
Stocks, Bonds
Number of Holdings
9
Risk Rating ♦
Low to Medium
Fund code
IAS920F
Asset Class
Global Equity Balanced
Performance
As of:
February 27, 2026
1M
3M
6M
YTD
Since Inception
Volatility*
2.34%
3.33%
10.53%
3.87%
23.19%
10.49%
*Standard deviation; calculated using daily returns since inception; annualized.
♦Distributions are not guaranteed. In addition to the Management Fee, there are other costs associated with investing which will reduce returns including an Administration Fee of 0.15%. Investments are subject to a minimum subscription amount. Estimated Risk Rating is based on a consideration of how much this investment fund’s investment strategy (a similar reference index) historical returns have changed from year to year. Source: Independent Advisor Solutions Inc. This rating has not been provided by a third-party firm. This rating can change over time. An investment fund with a low or medium risk rating may decrease in value. For more information about this investment, including specific risks that can affect this investment fund’s returns please speak to your investment advisor and/or read the offering memorandum and/or other reporting documents before investing. ^Effective investments are held either directly or through an underlying investment fund or ETF. This list is broadly descriptive of this investment’s major holdings but is not exhaustive; may invest in other securities.