ETF strategies for every portfolios
From traditional passive to innovative strategic beta and alternative beta strategies, and best-in-class active solutions, our strategies capitalise on our extensive expertise across all major markets and in every asset class—allowing investors to create more diversified and better-priced portfolios.
Our Investment Approach
Our actively managed ETF strategies tap into the full resources of our global research network, allowing investors to access outcome-oriented solutions through a range of proven and long established investment strategies.
Strategic beta & alternative beta
Backed by the insights and quantitative research of a specialist investment team, our strategic beta ETF strategies can help passive investors seek opportunities to enhance the return potential of broad market portfolios while reducing market cap risk biases, while our alternative beta ETF strategies seek to provide exposure to the uncorrelated sources of return generated by style investing and alternative risk premia.
With a robust track record founded on more than 30 years’ experience managing index strategies, our passive “BetaBuilder” ETF strategies are fully integrated into our broad strategies – providing investors with the choice they need to build stronger portfolios.
ETF strategies across every asset class
Equity ETF strategies
We bring a world of equity expertise to ETF investors, offering liquid, low cost solutions that put all of our research and insights to work.
Alternative ETF strategies
We provide investors with liquid and transparent access to the uncorrelated return streams and enhanced portfolio diversification benefits of alternative strategies.
Risk management does not imply elimination of risks, diversification does not guarantee positive returns and eliminates risks of loss. Investments involve risks and are not similar or comparable to deposits. Not all investments are suitable for all investors.