Multi-asset

Conservative allocation

This strategy invests with the aim of achieving a balanced total return with lower volatility than our Dynamic allocation strategy.

With flexibility to invest across asset classes, regions and currencies, and the ability to take short positions, the strategy can exploit a wide range of opportunities. Exposure is normally gained via derivatives using strict risk management techniques.

The strategy is well-placed to navigate changing market conditions while capturing potential opportunities that present themselves.

Latest insights

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