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Newton Real Return strategy

An actively-managed multi-asset strategy which takes an unconstrained approach to targeting absolute returns

Newton Real Return 1 is an actively-managed multi-asset strategy which takes an unconstrained approach to targeting absolute returns of cash (1-month Libor) +4% per annum over rolling 3-5 year periods.

It invests in 'conventional' assets (global equities, bonds and cash) and 'alternatives'. The strategy utilises derivatives to gain exposure to a particular asset, to hedge investment risks (in relation to markets or currencies for example) and to generate additional income. The strategy does not borrow in order to leverage or sell stocks 'short'.

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