Multi-asset - Funds

 

Multi-asset Funds

The dVAM Multi-Asset range consists of three volatility-targeted funds, covering a range of risk/return profiles, from capital preservation to increased participation in equity market growth. The funds are managed by a highly experienced Multi-Asset team whilst utilising the research, selection and monitoring services of one of the world’s largest investment consultants.

MULTI-ASSET STRATEGIES FOR VARYING RISK TOLERANCES 

By investing across five major asset classes, the range has the flexibility to provide solutions that match clients’ needs, be they straightforward or sophisticated.
In order to achieve the appropriate balance between capital preservation and capital appreciation, within clearly defined risk and return objectives, the funds follow a rigorous investment process.

Risk management is embedded throughout this process, from selecting the best managers to establishing our asset allocation views and building portfolios.
 

We transform challenges into solutions to help protect your capital and reach your investment objectives.
Our main focus is to create an investment strategy that delivers a result and value appropriate for you.

We transform challenges into solutions to help protect your capital and reach your investment objectives.
Our main focus is to create an investment strategy that delivers a result and value appropriate for you.