Multi-asset

Dynamic allocation

This multi-asset strategy dynamically responds to shifting price relationships between assets, with a view to maintaining a forward-looking view of diversification at all times.

This multi-asset strategy dynamically responds to shifting price relationships between assets, with a view to maintaining a forward-looking view of diversification at all times. It aims to target a high total return and is suited to investors with a higher-than-average risk tolerance.

With a high degree of 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.

This strategy is well-positioned to react to any significant market movements that appear to be driven by irrational changes in market sentiment.

Latest insights

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