We believe a consideration of ESG factors is aligned with the best interests of our clients, allowing us to engage with companies to create value, potentially enhancing risk-adjusted returns.
Our multi-asset income funds can help investors enhance existing incomes, dampen market volatility and grow savings over time.
Investing in European stock forms the core of many investment portfolios - our actively managed Europe equity funds are ideally positioned to capitalise on the growth potential of the region's burgeoning stock markets.
As pioneers in emerging market equity investing, experience has taught us that a combination of local knowledge and global expertise is the key to exploiting opportunities in these under-researched and inefficient markets.
Volatility is a fact of investing. Our tried and tested strategies can help investors ride out short-term turbulence and stay invested through the market cycle.
Drawing on expertise across unconstrained, credit and emerging market debt, our fixed income funds can help investors build stronger portfolios. We also offer investors access to our latest insights and views on global bond markets, including our weekly Bond Bulletin.
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