Multi-asset

Income allocation

This strategy invests with the aim of generating a growing, steady level of income together with capital growth, with the aim of delivering attractive total returns through market cycles.

It offers diversified income from a broad range of liquid securities, primarily physical listed equities, government bonds and credit from both developed and emerging markets, and is designed to provide investors with flexible access to stable, monthly income distributions.

We look for income sources that are mispriced due to irrational changes in investor sentiment that would benefit as prices gravitate back towards their longer-term normalised valuation.

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