We offer a multi-asset platform that encompasses absolute return approaches, advanced beta and alternative risk premia strategies, and blended solutions of these components, all managed within Wellington Management’s distinctive risk-based framework.
Our offerings are informed by a team-based approach, with a strong ethos of collaboration from specialists across investment disciplines, including fundamental, macro, quantitative and technical analysis.
Investment in the funds described below places an investor’s capital at risk. Alternative investments tend to be speculative and use leverage, which can magnify potential losses. Additionally, they can be subject to increased illiquidity, volatility and counterparty risks, among other risks.
Dynamic multi-strategy fund with a diversified approach to sustainable income
OTHER TYPES OF ALTERNATIVES
Fixed income and currency approaches with an absolute return style.
Regional and thematic long/short listed equity approaches.
Investing in the equity of unquoted companies.
Approaches that invest in physical assets, including commodities.