Why absolute returns?
In periods of market uncertainty and heightened volatility, many investors are assessing how they can balance gaining access to growth with protecting against capital loss. An actively managed, absolute-return investment approach could help to meet these requirements.
Our multi-asset and fixed-income absolute-return strategies seek to deliver positive returns, irrespective of market conditions.
Dynamic portfolios provide the flexibility to adjust positioning both strategically and tactically in order to help maximise opportunities
Emphasis on capital preservation – managing risk to offer investors the potential to enjoy attractive long-term total returns
No requirement to track the performance or replicate the composition of any market index
All absolute-return strategies
|Newton Global Dynamic Bond||Fixed income|
|Newton Multi-Asset Diversified Return||Multi-asset|
|Newton Real Return||Real Return|
|Newton Sustainable Global Dynamic Bond Strategy||Fixed income|
|Newton Sustainable Real Return||Real Return|
Your capital may be at risk. The value of investments and the income from them can fall as well as rise and investors may not get back the original amount invested.