Multi-Asset
Global Balanced
Diversified exposure across global asset classes, balancing international growth with managed currency risk.
Overview
A multi-asset strategy diversified across global equities, fixed income, and alternatives, providing access to international growth while managing currency exposure.
The Global Balanced strategy spreads capital across multiple asset classes and geographies to build a resilient, diversified portfolio. The aim is to capture international growth opportunities while smoothing the impact of any single market or currency.
Portfolio construction draws on both our local research capability and our global partnerships, allowing us to allocate across developed and emerging markets with discipline and a clear risk framework.
What it offers
- Global equity exposure
- International fixed income
- Currency diversification
- Multi-geography allocation
Who it is for
- Institutional investors seeking global diversification
- Pension funds with long-term mandates
- Investors wanting exposure beyond Botswana
The value of investments can go down as well as up, and past performance is not necessarily a guide to future performance. This page is for information only and is not investment advice or an offer to invest. Please speak to our team before investing.
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Speak to an investment professional about how this strategy fits your objectives, risk tolerance, and time horizon.
