Multi-asset
Our multi-asset strategies are designed to profit from a variety of different market conditions by blending investments, incorporating our thinking across in-house portfolios. We invest in a diverse range of funds from traditional equity and fixed income asset classes through, when permitted, to specialist investments that exploit the benefits of lowly correlated asset classes. Portfolios can target a wide range of risk / return objectives, including absolute return.
Whilst our Multi-Asset team has overall responsibility for portfolio management and underlying fund selection, the decisionmaking process encompasses other specialist teams, including strategic analysis, tactical asset allocation, fundamental research and risk management.
To find out more about our multi-asset strategies, please contact our UK Institutional team.

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