Aviva Investors case study

Enhancing portfolios: multi-asset solutions should avoid blindly targeting volatility

Published by : Aviva Investors

Rather than narrowly focusing on volatility, Thomas Wells, multi-assets Fund Manager at Aviva Investors, believes that a robust portfolio construction process should be at the heart of any multi-asset solution.
Click download to read more about Aviva Investors' approach to asset allocation.



Published:11 July 2017

Business Area: Multi Asset

Type: Portable Document Format (.pdf)

Rating: 1 people found this useful

Tags:

Not registered?

Register with Financial Library for access to market intelligence, data and reports from leading experts.

Sign up here