Newton Real Return strategy
An actively managed multi-asset strategy which takes an unconstrained approach to targeting absolute returns
Newton Real Return is an actively managed multi-asset strategy which takes an unconstrained approach to seeking attractive long-term absolute returns. It aims to deliver these returns with a level of volatility that is lower than that implied by growth assets and targeted between bonds and equities.
The strategy has a strong emphasis on capital preservation and has the freedom to invest in both conventional and alternative assets across the global asset spectrum. The strategy comprises a return-seeking asset core, complemented by a periphery of other assets to hedge areas of perceived risk, thereby dampening volatility. The strategy does not borrow in order to leverage, or sell stocks 'short'.
To read the full content, please download
Newton Real Return strategy



