J.P. Morgan Asset Management alternative investment solutions custom designed to help investors achieve real returns and add diversification to portfolios, with strategies spanning real assets, private equity/credit, liquid alternatives and hedge funds.
J.P. Morgan Asset Management - Global Real Assets is one of the industry's premier real estate, infrastructure, and maritime investment managers.
In this article, we (1) discuss the key considerations for insurers when allocating to alternatives and (2) make the case for core alternatives strategies, which can provide stable income and low total return volatility.
An Opportune Time to Build Your Strategic Allocation
Michael Cembalest, in his annual energy paper discusses the deep de-carbonization of electricity grids.
A case for private core infrastructure
We raised the probability of Recession to 55% after virus-induced shocks, oil prices’ collapse and violent market volatility. We are de-risking, adding very high quality duration, while expecting credit markets to cheapen and reserve currencies to do well
Learn how applying Strategic beta can help investors access the benefits of active investments through a passive strategy. This case study also reveals how hese strategies look to address deficiencies in traditional market-cap weighted and single-factor i
Learn about J.P. Morgan Asset Management's broad array of research-driven equity strategies spanning the risk/return spectrum across styles, market caps & regions.
The S&P 500 could hit 10,000 by the mid-2030s