The online subscription to this fund is only available to Luxembourg, French, Belgian and Dutch residents.
Please do not hesitate to contact one of our advisers to get an overview of the products that are available for your country of residence.

Marketing communication

About this Fund

A sub-fund of ING Aria, a Luxembourg-based open ended investment company (SICAV) without maturity date subject to European regulations and managed by ING Solutions Investment Management S.A., management company under Luxembourg Law.

Objectives*

► Investment Objective:

The objective of the Sub-Fund is to provide long-term capital growth while seeking returns through a diversified portfolio of equities.

► Investment Policy:

Investments will mainly be made through investment funds (UCITS or UCIs) domiciled in EU member states. Exposure to equities will be at least 90% of the Sub-Fund's net assets. The purpose of the Sub-Fund is limited to passive investment.

► ESG considerations:

The Sub-Fund promotes environmental, social and/or governance (ESG) characteristics but does not have a sustainable investment objective. It is classified as an Article 8 fund under the Sustainable Finance Disclosure Regulation (SFDR). More information in the Prospectus or at https://www.ing-isim.lu/ESG.

► Benchmark:

The Sub-Fund is actively managed and does not follow a benchmark index.

► Trading and cut-off time:

You can submit your subscription, redemption and, if applicable, conversion orders on any business day, according to the conditions in the Fund’s Prospectus.

► Distribution policy:

Capitalisation shares: Income from the Sub-Fund is reinvested to grow your investment.

Distribution shares: Income from the Sub-Fund is paid out to you as a dividend.

► Currency:

Euro (EUR).

► Additional information:

Depositary: CACEIS Bank, Luxembourg Branch.

The latest versions of the Prospectus and (semi-)annual report for the entire Fund are available for free in English from the Management Company, ING Solutions Investment Management S.A., located at 26, Place de la Gare, L-1616 Luxembourg  or at: https://www.ing-isim.lu. The net asset value is available upon request from the Management Company. Investors may switch their shares from one class to another within the same or different Sub-Fund, following the conditions of the Fund's Prospectus.

► Intended retail investor:

This product is suitable for investors who (i) have basic knowledge and limited or no financial industry experience, (ii) accept the risk of losing their full investment and (iii) have an investment horizon in line with the recommended holding period specified in this document. It can be used as main investment or part of a diversified portfolio.

 

*This is the content mentioned in the Key Information Document (KID). The capital and/or returns is/are not protected or guaranteed. The Prospectus and the KID must be read before making an investment decision. The promoted investment concerns the acquisition of units or shares in a fund, not in an underlying asset.


Portfolio*

Top positions in the sub-fund

*Data as of 31/12/2025 (updated on a quarterly basis).

Source: ING Solutions Investment Management S.A.


Performances*

The last 5 years**

** For recent products, available NAV may be less than 5 years.

**Year to Date, net performance since 1st January.

***The share class was launched in 10/2014.

*Data as of 31/12/2025 (updated on a quarterly basis) .

Past performance does not predict future returns. 

For distribution classes, the return shown reflect the assumption that dividends have been reinvested.

Source: ING Solutions Investment Management S.A.


Dividends

Only for distributive share-classes ("Dis").

Dividend calendar*

Frequency:  1x/year


2025:                        2.27

2024:                        1.92      

2023:                        1.91

2022:                        2.01

2021:                        1.64


*Gross amounts in EUR. The distribution represents the sum of distributed income over the last 12 months.


Costs

One-off costs upon entry or exit

  • Entry costs: Maximum 5.00%
  • Exit costs: none

The percentage shown is the maximum amount that can be paid out of your investment. Your financial advisor or distributor can inform you of the associated entry and exit charges.

Ongoing costs taken each year

  • Management fees and other administrative or operating costs: 2.65% of the value of your investment per year. 

This is an estimate based on actual costs over the last year.

  • Transaction costs: 0.15% of the value of your investment per year. 

This is an estimate of the costs incurred when we buy and sell the underlying investments for the product. The actual amount will vary depending on how much we buy and sell.

Incidental costs taken under specific conditions

  • Performance fees: none

In order to limit the liquidity risk and protect all existing investors against the costs incurred by subscriptions and redemptions, the Fund has adopted, for all of its sub-funds, a protection mechanism called “Swing Pricing”. Swing Pricing aims to counter the negative impact (on the NAV) caused by inflows and outflows by automatically adjusting the NAV upward or downward using a predetermined percentage (the «Swing Factor») in the cases where these net inflows or outflows exceed the predefined levels (the “threshold(s)”).

For more information with regards to the costs, please consult the prospectus and/or the KID available under the section "Documents". 


Your advantages

Optimal diversification

A selection of the best funds on the market. This means your portfolio is diversified.

Risk management

If an asset class is temporarily subject to heightened risk, this is controlled by the  reduction of the weighting of this asset if considered appropriate.

Responsiveness

The portfolio is adapted continually depending on market conditions and events, as well as the economic outlook, in order to benefit from the best opportunities.


Risks

Risk Indicator

The summary risk indicator is a guide to the level of risk of this product compared to other products. It shows how likely it is that the product will lose money because of movements in the markets or because we are not able to pay you.

We have classified this product as 3 out of 7, which is a medium-low risk class. This rates the potential losses from future performance at a medium-low level, and poor market conditions are unlikely to impact the capacity to pay you.

This product does not include any protection from future market performance so you could lose some or all of your investment.

... in addition to the risks taken into account in the above risk indicator, the following must be taken into account...

Currency risk

Changes in exchange rates may cause the value of your investment to decrease or increase.

Liquidity risk

Liquidity risk exists when particular investments are difficult to purchase or sell. Consequently, the Fund may be unable to transact at advantageous times or prices and this can reduce expected returns.

Please read the Fund's Prospectus for a complete list of risks that could affect the value of the Sub-Fund.

This content has been prepared by ING Solutions Investment Management (ISIM), the management company of the Fund. This content contains information, including, without limitation, statements and statistics that have been obtained by ISIM and are of the ownership of ISIM. ING has no liability in relation to the accuracy, completeness, and update of this content.

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Practical information

Additional information: ING Aria is an investment company with variable capital (SICAV) under Luxembourg law, meeting the conditions of Directive 2009/65/EC and managed in accordance with that Directive by the management company, ING Solutions Investment Management S.A. The management company may decide to terminate the marketing of its collective investment undertakings in accordance with the CBDF Regulation. The following information is available free of charge from the website ing-isim.lu, under “Our Funds”: the prospectus (in English), Key Information Document (KID) (in official language(s) of your country), annual reports and semi-annual reports (in English). Paper copies may be obtained free of charge from the institutions providing the financial service. The prospectus and the Key Information Document (KID) must be read before making an investment decision. The net asset value is available on request from the management company. It is also available from the institutions providing the financial service. Information about payments, participants, unit redemptions or repurchases and about the Fund is available to the public from the offices of the institutions providing the financial services.

Remuneration Policy: The current English version of ING Solutions Investment Management S.A.’s remuneration policy is attached to the prospectus and can be consulted on the website ing-isim.lu/policies.

Taxation: Depending on your tax regime, any capital gains and income arising from the ownership of shares in the Fund may be subject to taxation. We advise you to consult your financial advisor for more information on taxation.

Legal information: ING Solutions Investment Management S.A. can only be held liable for the statements contained in this communication if they are misleading, inaccurate or contradictory to the corresponding parts of the Fund’s prospectus. This communication is specific to the product as mentioned at the beginning of the communication. The liabilities and assets of each sub-fund are segregated. The annual (semi-annual) report is prepared by the Fund for all sub-funds. The summary of investors' rights is available in English, French, Dutch and German under: ing-isim.lu/policies.

Complaints: Should you wish to make a complaint, your financial intermediary is the first point of contact. You can also send it in writing to ING Solutions Investment Management S.A., 26 Place de la Gare, L-1616 Luxembourg or by email to compliance.isim@ing.com.

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