Why consider increasing your alternatives allocation?
Can you close the return gap?
Regime shift from “lower for longer” toward reflation?
As 2019 approaches, how should your portfolio be positioned?
Is now the time for de-risking?
A condensed version of the full report with a synopsis of our macro and asset class assumptions. US version.
This full report is a comprehensive and detailed analysis of our 10-to 15 year asset class forecasts. US version.
As late cycle challenges arise, how can investors continue to build discipline in alternative portfolio construction?
Adding credit exposure to defined contribution (DC) defaults via an unconstrained multi-asset credit fund has the potential to enhance risk-adjusted returns and improve outcomes for DC plan members.
J.P. Morgan Alternative Asset Management is honored by Institutional Investor magazine as "Firm of the Year" among Large Fund of Hedge Funds managers at the 12th Annual Hedge Fund Industry Awards.