Low correlation
Value-adding diversifiers. Strategies with low correlation to mainstream equity and credit markets seek to produce attractive risk-adjusted returns across diverse market environments.
Strategies
Strategic Absolute Return Bond | Absolute return objective. Dynamic, macro-driven strategy with the general risk profile of traditional fixed income and positive return when equity, credit and rates markets were negative. |
Systematic Equity Market Neutral | Market neutral, rules-based, and factor-driven global equity strategy seeks to dynamically harvest proven equity risk premia. |
Latest insights
Emerging market debt: Correcting six common misconceptions
Emerging market debt: Correcting six common misconceptions
Investment managers Alejandro Arevalo and Reza Karim discuss – and correct – some of the most common misunderstandings about the emerging market debt asset class.
Read time- 5 min.
17.06.2024
The importance of diversification
The importance of diversification
Jason Pidcock and Sam Konrad explain why they think their Asian Equity Income strategy is well positioned for a range of scenarios, given its diversified exposure.
Read time- 5 min.
10.06.2024
Modi’s re-election augurs well for reforms
Modi’s re-election augurs well for reforms
Avinash Vazirani and Colin Croft say India offers a compelling choice for long-term investments as Modi stays as the prime minister for another five-year term.
Read time- 7 min.
05.06.2024
Talking Factsheet: India strategy
Talking Factsheet: India strategy
Leighton Riley gives an overview of Jupiter’s India strategy, how the investment process works, and how the team seek to generate alpha.
23.05.2024
Contact us
Contact Jupiter APAC Institutional for more information.
![Adam Phua Adam Phua](https://www.jupiteram.com/uploads/2022/03/bbf31e83375d541f214c95af4accdad1/adam-phua-350x350px-circle.png?v=1652197833)
Adam Phua
Head of Institutional – Asia Pacific
Tel: +852 3125 8196
[email protected]
Email: [email protected]