Benefit from our deep experience across alternative asset classes
Our alternative strategies are designed to help investors achieve long-term investment goals, backed by extensive global resources, multi-layered risk management and a research-driven investment approach that aims to maximise risk-adjusted performance across market cycles.
We have expertise across the alternatives spectrum, including hedge funds, real assets, private equity and private credit, and have long experience managing liquid alternative strategies that have the ability to generate uncorrelated returns to traditional asset classes.
AUM figures are representative of assets managed by the J.P. Morgan Private Markets and J.P. Morgan Global Alternative Solutions groups. Includes portfolio managers, research analysts, traders and investment specialists with VP title and above. Source J.P. Morgan Asset Management; data as of 30 June 2024.
Building stronger alternatives portfolios to meet your goals
Invest with an experienced alternatives manager that has the global resources to deliver long-term results.
Invest with a truly global alternatives manager
We’ve been delivering innovative alternatives solutions for over 60 years.
Our alternatives expertise is built on four pillars:
- Research-driven approach: Builds on our active heritage and history of innovation in data science.
- ESG integration*: We systematically assess financially material environmental, social and governance factors into our investment decisions.
- Multi-layered risk management: We constantly monitor risks to optimise allocations and maximise risk-adjusted performance across market cycles.
- Demonstrated outcomes: Our investment solutions are designed to help you achieve your long-term goals.
*JPMAM defines ESG integration as the systematic inclusion of certain ESG factors (alongside other relevant factors) in investment analysis and investment decisions. For strategies that are ESG integrated, the Asset Manager considers certain ESG factors as part of the investment decision process for certain investment strategies with the goals of managing risk and improving value.
We stand behind our investment principles to deliver exceptional risk-adjusted performance
We have a firm-wide commitment to deliver the strongest possible outcomes for our clients. Every member of our investment teams shares three central principles:
Our long-tenured, specialist investment teams use their experience to earn your trust
Continuity and stability of investment teams are critical. We have one of the most experienced alternatives teams in the industry, which shares best practices and follows diligent research, risk management and investment processes.
Featured funds
Our alternative funds harness the power of our global investment platform to provide exposure to a range of absolute return, global macro, diversified alternatives and equity alternatives strategies.
Insights and education resources for client conversations
Plan and guide your client conversations with our resources on alternative investing.
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