Barings' experienced multi asset team takes a style-agnostic and highly flexible approach to investing—seeking to deliver a long-term, asymmetric return profile for our clients with attractive upside and capital preservation.
Multi Asset Strategies
We aim to deliver a long-term annualised return in excess of cash/inflation, with considerably less risk than equity.
Multi Asset Target Return
Since 2002, and 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 the objective of generating equity-like returns with lower volatility.