GLOBAL MULTI-ASSET STRATEGY. Our global multi-asset strategy invests in publicly traded bonds, equities and currencies in both developed and emerging markets. The strategy draws on systematic sources of risk premia from both traditional asset classes and non-traditional investment strategies, as well as skill-based sources of returns through active management.

ASIAN EQUITIES STRATEGY. Our Asian equities strategy invests primarily in the listed equities of high quality businesses in the Asia Pacific region, employing an intensive fundamental bottom-up stock-picking approach to build a high conviction portfolio.

GLOBAL FIXED INCOME STRATEGY. Our global fixed income strategy focuses on the preservation of purchasing power and the generation of good quality total returns over time by opportunistically allocating across various fixed income sectors. Sector selection is driven by macro analysis on the economic cycle and specific key drivers, as well as deep-dive analysis in sectors that offer compelling opportunities.