ALTERNATIVE BETA STRATEGIES

Our Alternative Beta UCITS ETFs are designed to bring the uncorrelated return streams and enhanced portfolio diversification benefits offered by alternative strategies to a wide range of investors in a systematic, liquid and transparent way.

IncludedImage Uncorrelated returns

Hedge fund returns have historically had little or no relationship to traditional equity and fixed income investments.

IncludedImage Long/short exposure

The ability to hold short as well as long positions in securities and markets can help deliver positive returns in a variety of environments.

IncludedImage Enhanced diversification

Alternative sources of less correlated returns can bring diversification benefits to existing portfolios.

IncludedImage Investment expertise.

As a pioneer in alternative beta, J.P.Morgan Asset Management provides access to market leading research and insights.

A robust ETF platform

Driven by research

An integrated approach to ETF investing combining world class quantitative research with robust portfolio management and an extensive technology platform.

Committed to best execution

Taps into the global strength of J.P. Morgan Asset Management’s trading team, bringing a further depth of expertise to our ETF range.

Focused on client outcomes

A range of specialist ETF strategies specifically designed to help our clients benefit from the enhanced liquidity, transparency and low costs of ETF investing.

 

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