MULTI-ASSET
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Over the past two decades, the global economic and financial environment has changed. Massive provisions of by central banks have impacted markets by making market shocks not only more volatile but also more abrupt which poses a considerable risk to capital. Seeyond has been a long-term provider of an investment solution that is particularly well fit for this new environment. Seeyond's multi-asset team aim to generate robust returns over the long term by managing short-term risks and opportunities.
3 areas of research
3 sources of return
One guideline
Benchmark-agnostic; implemented at Index-level only, no structural bias.
The strategy is managed by a team of experts with complementary backgrounds since 2007 and has weathered major market events with success. The team uses their macroeconomic, financial and technical skills to provide investors with solutions that are in line with their needs.
Rather than using black boxes, Seeyond builds intuitive mathematical tools and checks them frequently to ensure they remain relevant.
Benchmark-agnostic "Multi Asset strategies," also referred to as , designed to optimize the risk/return ratio of portfolios.