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  1. Institutional Investor Home
  2. Investment Strategies
  3. Alternatives | Investment Strategies

J.P. Morgan Macro Strategies

The J.P. Morgan Macro Strategies team has managed unconstrained, macro-driven portfolios since 2012. The team uses a research-oriented approach seeking to deliver positive returns for investors through varying market environments, and with a defined level of volatility.

The team monitors the macro landscape to identify key trends shaping the world today. Theses macro views are reflected in focused and flexible portfolios across a wide range of assets. Managing risk, as well as environmental, social and governance (ESG) factors, is integrated holistically into our approach.

Hedge funds insights

Guide to Alternatives

Designed to simplify the complex world of alternative investments to help you make more informed decisions across real estate, infrastructure, private markets and hedge funds.

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Explore our alternatives investment capabilities

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The manager seeks to achieve the stated objectives. There can be no guarantee the objectives will be met. In actively managed assets deemed by J.P. Morgan Asset Management to be ESG integrated under our governance process, we systematically assess financially material ESG factors amongst other factors in our investment decisions with the goals of managing risk and improving long-term returns. ESG integration does not change a strategy’s investment objective, exclude specific types of companies or constrain a strategy’s investable universe.