MULTI-ASSET
Comprehensive. Risk-aware. Specialised.
Our teams manage global asset allocation strategies, applying a variety of lenses and risk management approaches.
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€51.3bn
Multi-Asset Assets Under Management
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18
Multi-Asset Investment
Professionals
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22
Average Years’ Financial
Industry Experience
As at 31 December 2024
![]() €51.3bn |
![]() 18 |
![]() 22 |
As at 31 December 2024
Diversification may offer a more efficient portfolio; theory and history suggest that a diversified portfolio would be expected to deliver a better return per unit of risk than a more concentrated portfolio will do. We strongly believe that any serious focus on wealth preservation or wealth accumulation should have a diversified portfolio at its core.
Featured Strategies
Insights
Quick View: Trump keeps his “favorite word” on tariffs
In assessing tariffs’ potential economic impact, investors need to understand President Trump’s motivations and where compromise can be reached.
Multi Asset Quarterly Q1 2025: Higher U.S. rates roil the global economy and markets
What do current market dynamics mean for asset allocation? The Market GPS Multi-Asset Quarterly highlights key drivers and positioning.
Macro drivers: Actively navigating change and complexity in 2025
We see three macro drivers that investors must expertly navigate in 2025 and beyond. Explore our thinking on positioning for a brighter investment future.
Institutional Insights
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