Combining diversification with robust risk management, our distinctive multi asset strategies aim to provide reduced volatility and smoother returns to help institutional investors achieve their financial objectives.
ESG and Multi Asset – a framework
We provide a framework for how ESG should fit into investment management - and specifically its role in multi-asset and macro investment management.
Webcall replay: Invesco Global Targeted Returns Fund (UK) – Q1 2020 review
Listen to Clive Emery’s latest review of fund performance and any changes made to the strategy during the first quarter of 2020.
Dilemmas for securing income as dividends come under pressure
Income has been thrown firmly in the spotlight in recent days with the news that banks are being advised to cancel all dividend payments and buybacks, highlighting the importance of diversifying income sources.
The value of investments and any income will fluctuate (this may partly be the result of exchange rate fluctuations) and investors may not get back the full amount invested.
Where individuals or the business have expressed opinions, they are based on current market conditions, they may differ from those of other investment professionals and are subject to change without notice.