We believe with active management, it would lessen an investor’s exposure to declining markets, blunting the impact of bear markets and preserving capital and prior gains.
We seek to construct nimble portfolios that can moderate the volatility of the market, helping investors stay the course and benefit from the long-term gains of the market.
Multi-asset strategy combines different types of assets, such as stocks, bonds and more to create a more nimble and broadly diversified portfolio. It allows our managers to balance asset classes to achieve desired outcomes, such as growth, income or risk minimization.