OUR EXPERTISE ACROSS A WIDE RANGE OF STRATEGIES DRIVES INNOVATIVE SOLUTIONS.
Since 2002, against the backdrop of some of the most challenging financial conditions in history, our robust and repeatable multi asset investment process and experienced Multi Asset Group have achieved equity-like returns with lower relative volatility.
MULTI ASSET INCOME
Multi-asset income solutions designed to provide clients with stable, sustainable income in today’s low-yield environment.
MULTI ASSET TARGETED RETURN
Multi-asset income solutions designed to provide clients with stable, sustainable income in today’s low-yield environment.
BALANCED
Aims to deliver a long-term annualized return in excess of cash / inflation, with considerably less risk than equity.
TYPES OF MULTI-ASSET FUNDS
At Crediaasset , we offer several types of multi-asset funds, seeking to meet a wide variety of typical investor goals:
INCOME FUNDS
These funds can be a useful addition to portfolios where an investor seeks to receive a distribution or payout from the fund on a regular basis. Distribution payouts can be based purely on dividends, purely on bonds, or a mix of different asset classes. They may be designed to be regular and consistent (which may occasionally require a return of capital), or regular, but inconsistent (paying out only what the investment earns.)
Target Risk Funds
These funds are generally focused on seeking to achieve growth and/or income within a specific volatility range. The managers use multiple asset classes to help balance the risk and return of the fund consistent with the level of risk tolerable by the investor. For example, an investor who has a low tolerance for investment risk may choose a “conservative” fund, whereas an investor who can tolerate more risk might choose “moderate”, “aggressive” or “growth” target risk funds.
Target Date Funds
These funds are typically associated with education planning or retirement planning. An investor chooses a date sometime in the future when the funds will be needed for a specific purpose. The funds follow a “glide path” of exposure to growth-based assets, reducing the exposure to equity risk as the date nears.
Balanced Funds
Model Portfolios
Systematic Strategies
OUR EXTENSIVE MULTI-ASSET INVESTMENT CAPABILITIES INCLUDE:
Active asset management provides potential for outperformance and risk diversification relative to the broad market. For decades, investors have turned to us for our specialized investment expertise and extensive infrastructural support, when they seek to maximize and diversify their investments.
COMMITMENT TO ACTIVE MANAGEMENT DECADES OF SPECIALIZED EXPERTISE GLOBAL INTEGRATED PLATFORM
Our belief in the value of active management has consistently guided our investment decisions and differentiates us from passive investors. Our seasoned teams, each providing differentiated style and perspective, build portfolios based on proprietary methodologies. The around-the-clock support of our global investment platform allows our investment teams to focus on research and portfolio management.