A multi asset strategy offers a one-stop portfolio of different asset classes. Discover its merits.

All-weather

All-weather

A multi asset strategy aims to deliver stable returns across all market conditions, even when the market falls.

Broad-based

A multi asset strategy is diversified across a range of asset classes which can include cash, bonds, stocks, commodities and real estate; as well as across markets and styles.

Broad-based

Convenient

By combining different asset classes across multiple regions in one portfolio, multi asset strategies potentially offer investors a quick and simple way to gain exposure to a diverse mix of investments globally.

Convenient

Dynamic

To improve returns, the fund manager can adjust exposures to different asset classes depending on economic cycles.

For example, an active multi asset manager will typically put more money in cash and bonds if he feels that the economy is going to slow down, and more into stocks when the economy is booming.

Dynamic