Our equity strategies focus on research and bottom-up portfolio construction, driven by debate and intellectual freedom—and distinct performance needs.
In fixed income, we believe active management that seeks fundamentally sound investments is essential to delivering strong returns in different environments.
Our multi-asset approach combines dynamic asset allocation with bottom-up security selection, providing investors access to high-conviction views.
Learn how our portfolio managers leverage their expertise to navigate the complexities of emerging markets and identify opportunities.
Learn about our research-based approach to quality investing, focused on companies with high financial productivity and durable competitive advantages.
Human expertise remains irreplaceable, regardless of how automated investing becomes. By integrating quantitative methods with fundamental research, our teams seek to build strategies that are both resilient and responsive to changing market dynamics, helping generate alpha for investors.
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