m&g dynamic allocation

M&g dynamic allocation

The fund has a highly flexible investment approach with the freedom to invest in different types of assets issued anywhere in the world and denominated in any currency, m&g dynamic allocation. The fund will typically use derivatives to gain exposure to these assets.

The Morningstar Star Rating for Stocks is assigned based on an analyst's estimate of a stocks fair value. This process culminates in a single-point star rating that is updated daily. A 5-star represents a belief that the stock is a good value at its current price; a 1-star stock isn't. If our base-case assumptions are true the market price will converge on our fair value estimate over time, generally within three years. Investments in securities are subject to market and other risks. Past performance of a security may or may not be sustained in future and is no indication of future performance. For detail information about the Morningstar Star Rating for Stocks, please visit here.

M&g dynamic allocation

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M&g dynamic allocation

This multi-asset strategy dynamically responds to shifting price relationships between assets, with a view to maintaining a forward-looking view of diversification at all times. It aims to target a high total return and is suited to investors with a higher-than-average risk tolerance. With a high degree of flexibility to invest across asset classes, regions and currencies, and the ability to take short positions, the strategy can exploit a wide range of opportunities. Exposure is normally gained via derivatives using strict risk management techniques. This strategy is well-positioned to react to any significant market movements that appear to be driven by irrational changes in market sentiment. For institutional investors only. Not for onward distribution to any other type of client. No other persons should rely on the information contained on this website.

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No other persons should rely on any information contained within. Add to Your Watchlists New watchlist. Not for onward distribution. All content on FT. Marketing communication. Companies House does not verify the accuracy of the information filed link opens a new window. However, assets seldom trade at fair value, so the actual allocation of the fund may not match the neutral position. The Morningstar Medalist Ratings are not statements of fact, nor are they credit or risk ratings. Top 5 Holdings. Reasons to invest The fund is designed for investors pursuing a dynamic approach to capital growth. Steven Andrew, Co-Fund Manager. For more detailed information about these ratings, including their methodology, please go to here The Morningstar Medalist Ratings are not statements of fact, nor are they credit or risk ratings. You've rejected analytics cookies. As well as the ability to take long and short positions, the fund managers can go negative duration. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information.

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Juan Nevado. The fund managers believe that this strategy has a greater chance of delivering strong returns than a traditional long-only portfolio. Further details of the risks that apply to the fund can be found in the fund's Prospectus. The videos, white papers and other documents displayed on this page are paid promotional materials provided by the fund company. Top 5 holdings. Skip to main content. When analysts directly cover a vehicle, they assign the three pillar ratings based on their qualitative assessment, subject to the oversight of the Analyst Rating Committee, and monitor and reevaluate them at least every 14 months. The fund has a highly flexible investment approach with the freedom to invest in different types of assets issued anywhere in the world and denominated in any currency. Marketing communication. Follow this company. Asia - Emerging. Financial Services 7.

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