Multi-asset investing is ingrained in our DNA
Investors today face uniquely challenging circumstances. Our multi-manager, multi-asset products are dedicated to helping investors achieve real returns against this backdrop.
We believe robust multi-asset portfolios should invest across many dimensions, including return source, risk exposure, investment style and investment horizon. Differentiated by our open architecture approach, we incorporate best-of-breed asset managers and strategies within every asset class. With full visibility into stock level holdings, we dynamically manage your asset allocations, using our proven investment strategy process to navigate markets.
Multi-Asset Growth Strategy (MAGS)
Our flagship diversified growth fund for UK investors – ‘MAGS’ – invests in a diverse range of growth asset classes and strategies. On top of traditional asset classes like equities and bonds, the fund exploits carefully selected liquid alternative strategies, for example commodities, listed property and infrastructure, absolute return products, and active currency strategies.
- Aims to deliver capital growth (RPI + 4%)
- Proven and transparent process
- Invests dynamically in a combination of bonds, equities, liquid alternatives and cash
All multi-asset funds
- Multi-Asset Growth Strategy
- Multi-Asset Conservative Fund
See how we can help
If you want to discuss how Russell Investments can help, call us now on +44 (0) 20 7024 6378 or email Colin Doyle.
Any opinion expressed is that of Russell Investments, is not a statement of fact, is subject to change and does not constitute investment advice.
The value of investments and the income from them can fall as well as rise and is not guaranteed. You may not get back the amount originally invested.