Multi-Asset Investments
Investment strategies that invest in a range of different markets
Please bear in mind that all investments involve risk and the value of, and any potential income from, your investment may fluctuate and are not guaranteed.
The aim of multi-asset funds is to spread the risk of investing across different types of investment markets. These may include among other things, government and corporate bonds, company shares, bonds that can be converted into shares, commodities, or a range of currencies. Multi-asset funds also provide investors an opportunity to simplify their portfolio by investing in one fund rather than several.
Following carefully honed and methodical investment processes, our multi-asset specialists scour the investment universe for the best investment opportunities.
Asset Class
Alternatives
Our alternative fund managers invest in non-traditional investment strategies and assets to gain an ‘edge’
Shares
Investing in shares of companies from around the world, across a wide range of industry sectors and regions
Bonds
Investing in government and corporate bonds globally, for income and potential capital gains
Multi-manager
Blending the best funds we can find to help meet a range of investment objectives