Funds and strategies
Multi-Asset Growth Strategy
Aims to deliver steady growth for investors who are seeking equity-like returns, but with lower volatility against today’s uncertain market backdrop.
Investor benefits
Flexibility
Dynamically managed asset allocation can help exploit market inefficiencies and provide total portfolio risk management, visibility and control.
Robust process
Utilising a wide range of instruments and research to provide effective diversification and generate insights and market awareness.
Track record
Over 30-years of experience and comprehensive data modelling, resulting in a seven-year track record that has consistently performed well versus peers.
Explore related resources
Brochure
Multi-Asset Growth Strategy aims to deliver consistent growth with diversification across equities, bonds and alternative asset classes.
Monthly commentary
Our market commentary provides an overview of recent key market highlights.
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For questions, contact Jim:
Jim
Leggate
HEAD OF UK
INSTITUTIONAL
020 7024 6400
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More funds and strategies
Multi-asset
Investing in a global mix of asset classes in a single investment portfolio.
Fixed income
A range of funds, including unconstrained and multi-asset credit, which target real returns.Alternatives
Increasingly used by institutional investors to help achieve both return and diversification goals.
Any opinion expressed, 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.
Please refer to the prospectus of the relevant [UCITS or AIF or EuSEF or EuVECA] and/or Information document of the relevant [AIF/EuSEF/EuVECA], and (where relevant) to the [KIID/KID] before making any final investment decisions.