Overview

A broad range of strategies for institutional investors

We seek to deliver outcomes for our clients across active equities, income, absolute-return (including fixed-income), multi-asset (both fundamental and systematic) and thematic strategies, as well as strategies with sustainability characteristics.

Strategy literature

Strategy Literature
Real Return  
Real Return
Real Return (Responsible)
Global equity  
Blockchain Innovation
Concentrated Global Equity
Dynamic Global ex-US Equity
Dynamic US Equity
European Opportunities (Responsible)
Food Innovation
Global Equity
Global Equity (Responsible)
Global Equity ex US
Global Equity Income
Global Equity Income (Responsible)
Global First Decade Innovators
Global Infrastructure Dividend Focus Equity
Internet of Things
Mobility Innovation Equity
US Equity Income
US Income Stock
Fixed income  
Global Bond
Global Dynamic Bond
Global Dynamic Bond (Responsible)
Global High Yield Bond
UK Index Linked Gilt
Multi-asset  
Commodity Alpha Long-Bias
Dynamic Factor Premia
Dynamic Growth
Dynamic Total Return
Multi-Asset Diversified Return
Multi-Asset Global Balanced
Multi-Asset Income
Risk Parity
Risk Parity DRQ
Risk Parity Index
UK equity  
UK Equity
UK Equity Income
UK Opportunities (Responsible)
Emerging and Asia-Pacific equity  
Asian Equity Income
Asian Opportunities
Concentrated Global Emerging Markets
Emerging Equity Income
Global Emerging Markets (Responsible)