Multi-asset investing provides upside potential through equities and alternatives, plus potential downside protection that a risk-managed portfolio can help to deliver.
Multi-asset investing is meant to provide measurable investment outcomes that aim to assist you reach your investment goals.
A multi-asset portfolio is intended to navigate potential market shifts through tactical trades, tilts and factor exposures. it’s the pliability to retort to changing market conditions, seeking out areas of greater potential return while attempting to avoid sectors that would add unnecessary risk to a portfolio. Multi-asset solutions depend upon dynamically allocating portfolios supported strategy views and outlooks. Therefore there’s the danger the perspectives might not be realized.
By combining independent money managers from round the globe in an exceedingly single fund — not just managers who work for one fund company — you potentially get access to what we believe are “best-in-breed” managers for the foremost recognized asset classes.