Overview

A broad range of strategies for institutional investors

We run a broad range of equity, fixed-income and multi-asset strategies, and have particular expertise in absolute-return, income-focused, high-conviction and sustainable investing.

Browse our featured strategies below:

Strategy literature

Strategy Literature
Real Return  
Real Return
Sustainable Real Return
Global equity  
Blockchain Innovation
Concentrated Global Equity
Future Earth
Future Food
Future Life
Global Equity
Global Equity (50/50)
Global Equity ex US
Global Equity Income
Global First Decade Innovators
Global Infrastructure Dividend Focus Equity
Internet of Things
Mobility Innovation Equity
Pan-European Equity
Sustainable European Opportunities
Sustainable Global Equity
Sustainable Global Equity Income
Fixed income  
Global Bond
Global Dynamic Bond
Global Dynamic Bond Income
Global High Yield
Sustainable Global Dynamic Bond
Sustainable Sterling Bond
UK Index Linked Gilt
UK Long-Gilt
Multi-asset  
Commodity Alpha Long-Bias
Dynamic Growth
Dynamic Total Return
Multi-Asset Diversified Return
Multi-Asset Income
Risk Parity
Risk Parity DRQ
Risk Parity Index
Specialist Multi-Asset
UK Institutional Balanced
UK equity  
Sustainable UK Opportunities
UK Equity
UK Equity Income
UK Opportunities
Emerging and Asia Pacific equity  
Asian Equity
Asian Equity Income
Emerging Equity Income
Global Emerging Markets Equity
Sustainable Global Emerging Markets