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The starting point in the search for long-term returns has to be the strategic asset allocation of a Fund’s portfolio. Empirical evidence shows that well over 90% of the difference between returns of portfolios is accounted for by the variations in their strategic mix.
Given the different risk, return and liquidity requirements of investors we offer a range multi-asset funds to match an investors risk tolerance, with different strategic asset allocations, offering both traditional peer group benchmarks and unconstrained benchmarks, with products designed to meet the needs of retail investors and target return funds for institutional investors.
Given the different risk, return and liquidity requirements of investors we offer a range multi-asset funds to match an investors risk tolerance, with different strategic asset allocations, offering both traditional peer group benchmarks and unconstrained benchmarks, with products designed to meet the needs of retail investors and target return funds for institutional investors.


