Audience Selected - Individual
Audience Selected - Intermediary
Audience Selected - Institutional

Another award for our multi-asset portfolios

For professionals only.  
Capital at risk.

In the Lipper 2026 Fund Awards for Europe, Marlborough Adventurous was named Best Fund over Three Years in the Mixed Asset GBP Aggressive – Global category.

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Marlborough Adventurous is one of the multi-asset portfolios in our Irish-domiciled range for international advisers.

In 2025, these portfolios earned the title International DFM Fund/Product of the Year for the second consecutive year in the Investment International Awards.

In those awards we were also highly commended in the Best International Fund Group category, regional winners (Africa) in the Excellence in Client Service (Industry) category and Nathan Sweeney, our Chief Investment Officer for Multi-Asset, earned the Readers’ Award in the Personality of the Year (Industry) category.

We also earned the title International Fund Management Group of the Year (small/boutique) in the International Adviser Global Financial Services Awards 2025.

In addition, we were named Best Medium Firm in the Citywire Wealth Manager Investment Performance Awards 2025 – and we were finalists for Best Cautious Portfolio and Best Balanced Portfolio.

More recently, we were finalists for the Best MPS Provider and Best High Income Fund categories in the Professional Adviser Awards 2026.

Find out more about our Irish-domiciled range


This article is provided for general information purposes only and should not be construed as personal financial advice to invest in any fund or product. These are the investment manager’s views at the time of writing and should not be construed as investment advice. The opinions expressed are correct at time of writing and may be subject to change. Capital is at risk. The value and income from investments can go down as well as up and are not guaranteed. An investor may get back significantly less than they invest. Past performance is not a reliable indicator of current or future performance and should not be the sole factor considered when selecting funds.