Why choose a multi-asset fund?
Multi asset funds can offer investors a diversified blend of equities, fixed income, property, cash and currencies in a single portfolio.
But markets move and change. As they do so, different asset classes offer opportunities. A good fund manager will seek to spot these opportunities and position your investment so as to generate the best performance within your chosen fund's objectives.
Why invest with M&G
We believe the investment philosophy we use in our multi-asset funds is unique, based on the ‘Episode’ process developed by Dave Fishwick, head of macro and equities investment at M&G.
This approach seeks to combine our robust valuation framework with a behavioural finance philosophy that seeks to identify instances when investors’ emotions, rather than fundamentals, drive markets - thus creating opportunities.
A multi-asset portfolio that seeks to generate consistent investment returns across the market cycle.
A totally unconstrained fund that seeks to deliver higher returns than global equities with lower volatility on average.
The value of stockmarket investments will fluctuate, which will cause fund prices to fall as well as rise and you may not get back the original amount you invested.