Sustainable allocation

By incorporating ESG and positive impact considerations in our approach to selecting investments, this flexible multi-asset strategy aims to generate sustainably achieved and attractive total returns over the long term.

This strategy is designed for investors seeking to target both sustainably generated long-term returns and the flexibility of dynamic asset allocation, invested across the breadth of liquid global financial markets including listed equities, government bonds and credit.

We employ a best-in-class framework for screening potential investments for their ESG qualities and credentials. Additionally, the strategy allocates approximately 20% of its holdings to companies and institutions dedicated to delivering a positive impact to meeting the world’s societal and environmental challenges.

The value of investments will fluctuate, which will cause prices to fall as well as rise and investors may not get back the original amount they invested. There is no guarantee the objective will be achieved.

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