How multi-asset managers are withstanding volatile markets
IT has been a turbulent few weeks for equity funds thanks to the volatility caused by the COVID-19 pandemic. Unsurprisingly, this has left investors unsure and confused about where they can place their assets to get a positive return, especially as interest rates are at a record low.
One area that is navigating the market successfully is in the multi-asset space, specifically those funds which have an objective-based mandate, as managers have hurried to implement defensive positions and protection.
In this article, multi-asset managers explain how they are utilising their flexible mandates to withstand volatile markets.