Multi-Asset Strategies: Stabilizing Portfolios While Enhancing Return Opportunities

An Institutional Investor Special Report

Downside protection, return opportunities and effi cient access to varied asset classes are among the reasons multi-asset strategies are capturing a growing share of the institutional market.
By strategically packaging assets with complementary characteristics or focusing on tactical opportunities without the usual benchmark constraints, multi-asset products can help institutional investors stabilize portfolios while potentially improving performance.

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