Keep on top of volatility
Invest in strategies that can perform in different market environments
Selling when markets are volatile risks locking in losses
Don’t rely too heavily on any one asset class or strategy
Prepare your strategy
Capitalise on flexible multi-asset funds
Consider funds that can invest flexibly across asset classes to navigate varying market environments.
Consider unconstrained bond funds
Use funds that can shift exposure across regions, securities, maturities and risk.
Consider funds that can provide access to the diversified, lower-volatility returns offered by alternative strategies.