Measures the investment manager’s ability to effectively allocate the assets of a portfolio to different segments. The allocation effect determines whether the overweighting or under weighting of sectors relative to a benchmark contributes negatively or positively to an account’s overall return.
Strategies
Learn more about our investment strategies and how they support long-term performance.
EXPLOREResponsible Investment
We consider financially material sustainability-related risks and opportunities and actively engage with the companies we invest in
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