Our strategies cover the whole spectrum and bespoke solutions for institutional clients.
Decades of experience
Today, we draw on decades of asset management experience, backed by macroeconomic insights and in-depth company analysis, to help our clients reach their goals.
Backed by research
We look at macroeconomic trends and perform in-depth company credit analysis.
Tailored to your needs
Put cash to work with short duration bonds, or trade more risk for the potential of higher returns.
100+ experts across 3 continents1
We've weathered economic cycles for 20+ years. In today's increasingly uncertain economic environment, our experts look further afield for diverse and versatile opportunities.
A two-pronged approach
A fundamental equity approach that's informed by in-depth company analysis and a systematic investing approach that lets our managers assess key elements to determine what, how, and when to invest.
With you every step of the way
We provide the latest investment insights and provide access to our investment professionals at all stages of the investment journey.
We offer the ability to invest in a range of themes through our Evolving Economy initiative which includes: Automation, Connected Consumer, Ageing & Lifestyle, Clean Tech and Transitioning Societies.
Outcome-oriented multi-asset strategies can combine multiple asset classes to potentially help investors reach their financial goals responsibly.
Multi-asset strategies can help investors mitigate their risks while capitalising on market opportunities.
Multi-asset strategies offer flexible all-in-one solutions to simplify investments.
We invest in all types of real assets. Over the years, we've expanded our expertise and innovated strategies.
Putting sustainability front and center
Aim for long-term prosperity and to help in a sustainable future for the planet. Continue to promote and grow sustainability over the coming years.Explore Responsible Investing
No assurance can be given that our strategies will be successful. Investors can lose some or all their capital invested. Our strategies are subject to risks including, but not limited to: equity; emerging markets; global investments; investments in small and micro capitalization universe; investments in specific sectors or asset classes specific risks, liquidity risk, credit risk, counterparty risk, legal risk, valuation risk, operational risk and risks related to the underlying assets.