Funds – Multi Asset

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Multi Asset

We have a differentiated approach, with flexible asset allocations according to macro views and quantitative analysis. Our Multi-Asset funds are managed within a measured risk framework to mitigate large downside.

Our Multi-Asset funds are relatively low volatility products with historically low correlation to traditional government bond and equity indices.

The portfolios provide active exposure to a broad spectrum of asset classes and are designed to maximise risk adjusted returns at competitive costs.

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Key contacts

For General Enquiries:- markets@whirelandplc.com