Multi-asset strategies
In today’s challenging investment environment, clients are looking for diversified sources of return that can offer low correlation benefits and increase their opportunity to increase alpha, while minimizing beta risks.
We are at the forefront of developing innovative multi-asset strategies that can help to achieve these objectives.
Having managed asset allocation mandates since 1979, we view multi-asset investing as a core area of our capability.
The Global Multi-Asset Group
We maintain an extensive Global Multi-Asset Group (GMAG) networked across London and New York comprising specialists in asset allocation strategy, portfolio management and research.
Through this talented team of specialists, we are able to leverage J.P. Morgan Asset Management’s global expertise across core and alternative asset classes to create robust and innovative strategies in areas such as;
In turn, these capabilities are allowing us to deliver flexible solutions in areas such as liability-driven investing for pension schemes, as well as a wide range of strategies that can deliver an asymmetric risk profile for clients.
Contact us
Peter Cazalet
020 7742 8503
Sue Curtis
020 7742 0140
Steven Peck
020 7742 5091
Alternatively, please contact your usual relationship manager.
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